About Us

AGF Management Limited (AGF) is an independent, globally-diversified asset management firm. For 60 years, we have been providing asset management services to institutions, financial advisors and individual investors around the globe. 

Today, we are diversified across our retail, institutional, alternative, high-net-worth and ETF businesses. And building on our history of innovation, AGF brings forth a value proposition that is unique with new and different strategy combinations powered by AGFiQ’s team of investment professionals.

About AGFiQ

We believe discipline makes the difference. Our suite of investment capabilities are powered by a multidisciplinary, intellectually diverse team that combines the complementary strengths of investment professionals from FFCM, LLC (an adviser registered in the U.S.) and Highstreet Asset Management Inc. (a Canadian registered portfolio manager) – a collaboration we call AGFiQ.

AGFiQ’s team approach is grounded in the belief that investment outcomes can be improved by assessing and targeting the factors that drive market returns. As such, our objective is to provide better risk-adjusted returns by utilizing a disciplined, multi-factor process, viewing risk through multiple lenses. We collectively understand that while quantitative, multi-factor approaches are a good start, it’s the people behind the strategies that really drives innovation. Through our differentiated approach, we aim to deliver quality strategies to advance wealth accumulation and preservation goals.

Leadership

Our Capabilities

Our team of investment professionals can provide expertise in the following areas:

  • Factor-driven investment strategies
  • Quantitative strategies
  • Factor construction
  • Fundamental strategies
  • Derivatives
  • Asset allocation
  • Overlay strategies
  • ETF strategist expertise
  • Empirical research
  • Risk management