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Our CAD 64.3 billion diversified portfolio is systemic in both Canada and the United States. The plan includes index (passive) and active management, a mix of internal and external managers, and integration of governance and environmental, social, and governance (ESG) considerations into the investment process. We have various risk and investment management solutions, which enable us to move quickly in volatile markets. These programs are internally managed and encompass low-cost, high-quality indexing strategies, derivatives, and an active global equity portfolio. They feature long-term thematic and quantitative mandates. BCI invests capital selectively in specific markets through highly specialized external partners, adding long-term client value.