Canadian Equity Markets
April 16, 2020 • Equity Portfolio
Discusses the ONE Canadian Equity Portfolio, including recent performance, portfolio positioning and a discussion of how the global pandemic is impacting the portfolios and outlook. The targeted risk approach of the portfolio has direct implications for the exposure to the energy sector and the resource sector generally. This, in combination with a ‘bottom up approach’ that emphasizes quality companies with strong prospects is discussed further to demonstrate how Guardian is positioned in the face of the recent market turmoil.
Remote video URL