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Viewpoints about canada
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How Manulife’s Fundamental Equity Team applies ESG analysis
The decisions a company’s leadership team makes are clearly critical to its success – but how can potential investors tell if a company is well run? Environmental, social and governance (ESG) factors can be powerful indicators. They are important inputs into the equity valuation model used by Manulife Investment Management’s Fundamental Equity Team, which is led by Patrick Blais and responsible for the Canadian Core Equity strategies.
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Why the future of responsible investing depends on partnership
Director of ESG research and integration Margaret Childe explains why multilateral engagements could become central to responsible investing.
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Canadian core equity: A focus on sustainable cash returns and protection against tail risks
Although equity markets have recently pulled back on global trade tensions—and the bond markets have flashed recession warning signs—we think the most relevant tail risks to Canadian equities are missing from current market headlines. Patrick Blais, CFA, FSA, senior portfolio manager, describes what he sees as the key threats to markets and where current challenges pose less potent risks to stocks with higher cash returns.
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Back to school – cram session for the year
Capital Markets Strategy continue to emphasize a balanced approach to asset allocation, with a skew to the defensive, as global economic conditions continue to remain uncertain.
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Q4 Canadian GDP slump is just the start
While the Canadian economy may avoid a recession in 2019, it faces compound stresses of a weaker consumer, falling housing activity and a weak energy sector.
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Investment Note 2019 outlook - travel with caution, not fear
The global economic environment is moderating yet favourable. Find out why investors should travel with caution and not fear in this comprehensive market outlook.
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