Our Strategies

Model portfolio strategies, built to meet your clients' investment objectives.

StrategyCurrency5Y ReturnDividend YieldSharpe RatioPositions
Best Ideas EquityCAD+17.7%2.1%1.3230
Canadian EquityCAD+16.8%1.8%1.2425
Canadian HD EquityCAD+13.4%4.2%1.0825
Global Infra EquityUSD+20.2%3.1%0.8820
International EquityUSD+16.0%2.0%0.9325
North American EquityCAD+19.7%2.0%1.2520
Tactical Sector RotationUSD+17.2%2.0%1.0010
US EquityUSD+15.6%1.5%1.1825

Our Investment Process

A disciplined, repeatable approach applied consistently across all of our strategies.

01

Define the Environment

Analyze the current investment landscape and macro conditions across equity markets.

02

Identify Alpha Factors

Research and validate the fundamental factors that consistently generate excess returns.

03

Build Ranking System

Construct a proprietary multi-factor quantitative model combining quality, value, and momentum.

04

Apply Rules & Filters

Enforce liquidity, diversification, and risk constraints to ensure portfolio robustness.

05

Build Live Portfolio

Deploy capital into the highest-ranked securities with real money and real execution.

06

Monitor & Rebalance

Track positions daily and systematically rebalance on a quarterly schedule.