Frédéric Gagnon M.Sc., CFA

Director, Portfolio Manager, Asset Allocation

Frédéric has nearly 10 years of experience in the financial industry, with a focus on portfolio construction, macroeconomic analysis and quantitative investment research. He joined iA in 2015 as a financial analyst within the economic team. Throughout the years, he has been a key contributor to the development and management of the firm’s suite of balanced and managed solutions products. Frédéric holds a master’s degree in finance from Laval University and is a CFA Charterholder.

Frédéric Gagnon
“Asset allocation benefits fully from the diversification effect, the only thing that’s “free" in investment. I believe that combining assets that offer the prospect of positive returns over the long term, but realize losses in different market environments, should lead to portfolios that offer better risk-adjusted performance over time.”