Explore various fixed-income manager styles, focusing on term to maturity, credit quality, and interest rate anticipation, and understand their alignment with investment objectives and risk profiles.
Explore high-yield bond strategies focusing on below-investment-grade bonds to achieve higher returns, understanding their risk profile, and how they can enhance portfolio diversification.
Explore the essential concepts of structured products, their benefits, risks, and strategic role in investment portfolios within the Canadian financial landscape.
Explore the unique features and benefits of retractable preferred shares, a versatile investment option in the Canadian market. Learn how they compare to other preferred shares and their role in portfolio diversification.
Explore the intricacies of foreign-pay preferred shares, their advantages, currency risks, and their role in portfolio diversification within the Canadian financial landscape.
Explore the diverse world of alternative investments, their strategies, and performance measurement tools. Understand the significance of these investments in diversifying portfolios and the importance of due diligence in the Canadian market.