Fixed Income

Our fixed income investment strategy combines the objectives of capital preservation and income generation. Risk is minimized in this area with investments being largely focussed on Canadian Federal and Provincial government bonds as well as high quality corporate issues. For taxable portfolios, preferred share investments will also be considered.

We undertake a disciplined approach within the fixed income area, concentrating on investment grade securities and the relative valuations between federal, provincial and corporate issues. Our investment decisions are influenced by our analysis of key macro-economic, financial and political issues.

This approach allows Rempart to maximize client returns, while minimizing exposure to adverse shifts in the fixed income markets.

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Rempart’s performance data may be obtained upon request. Contact us