Christine Tan, Portfolio Manager at SLGI Asset Management Inc. discusses how recessions are a normal part of the economic cycle, and how they may actually offer opportunities to pick up quality companies at bargain prices for investors while also reducing portfolio risk.
In this video, Christine Tan, Portfolio Manager at SLGI Asset Management Inc. makes the case why bonds are an attractive alternative to owning stocks and why they should be part of a well-balanced portfolio.
In this BPM roundtable on climate change, Adelina Romanelli, Director of Responsible Investing, answers a number of questions on net zero from a manager-of-managers perspective.
Jason Zhang, Portfolio Manager, SLGI Asset Management Inc. spoke to Wealth Professional about the place 60-40 portfolios have in the current economy. Zhang suggests investors “adjust the formula for the short term and hold it for the long term.”
Christine Tan, Portfolio Manager at SLGI Asset Management Inc. was featured in a Wealth Professional article, ‘What happens if the U.S. debt ceiling is not raised?’ Tan points out that ‘a complete default would be disastrous for the United States,’ but she also notes that there are still options that can be exercised.
Our latest insight looks at when stocks and bonds correlate negatively and positively, why they move the way they do, and what that could mean for market watchers.
BNN Bloomberg asked Chhad Aul, Chief Investment Officer and Head of Multi-Asset Solutions at SLGI Asset Management Inc., about the risk of missing out by being too defensive. "There's always a risk…hedge some of the downside by being more defensive, but stay in the market."
Jason Zhang, Portfolio Manager at SLGI Asset Management Inc. shares his insights on the correlation between stock and bond prices in this recent article by Wealth Professional
Markets rollercoaster through a volatile first quarter after interest rates expectations fluctuate.
Find out how Chhad Aul, CIO and Head of the Multi-Asset Solutions, SLGI Asset Management Inc., and his team positioned the Granite funds against a volatile market backdrop in Q1 2023.
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