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This series showcases presentations from some of the industry's top portfolio managers.

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Despite increased volatility, U.S. and global stocks have been climbing. Will strong fundamentals carry them higher? Or will U.S. President Donald Trump’s trade agenda, rising interest rates and inflation set back the markets? Join our webcast to hear Chhad Aul’s views on equities, NAFTA, the economy, how his tactical strategy helps mitigate risk – and more.

Recorded: July 17, 2018   Expiry: July 17, 2019


Sun Life Global Total Return Fund | Go global - go balanced

One way to reduce risk and potentially enhance returns in volatile markets is to combine assets with low correlations. Join our webcast to hear Gary Hampton explain how he does this by investing globally in quality companies and investment-grade bonds – a combination that may produce equity-like returns with less risk.

Recorded: March 19, 2018   Expiry: March 19, 2019


Outlook 2018 | Stocks higher - Risk grows

Global growth is accelerating, the S&P 500 is about to enter the ninth year of a bull run and emerging markets
have surged higher. But there are risks – valuations are stretched and interest rates may climb.

Recorded: January 11, 2018   Expiry: January 11, 2019


Absolute-return investing: Sun Life Multi-Strategy Target Return Fund

On any given day, markets can surge higher or tumble. That’s why Sun Life Multi-Strategy Target Return Fund uses an absolute-return strategy, combining broadly diversified market and risk reduction strategies to deliver long-term growth potential – even in falling markets.

Recorded: October 26, 2017   Expiry: October 26, 2018


Will economic fundamentals Trump political risk?

U.S. politics are on full boil, economic growth is healthy and stocks are near record highs. All this raises an important question: Will rising political risk surrounding U.S. President Donald Trump derail the market, or can economic fundamentals carry it higher?

Recorded: July 17, 2017   Expiry: July 17, 2018


Want more from bonds?

With interest rates at rock-bottom it can be difficult to find adequate returns. Soami Kohly, Fixed Income Portfolio Manager, MFS Investment Management will explain how the fund adds to its core Canadian holdings by investing globally. It’s a “core-plus” strategy that delivers the increased return potential investors need.

Recorded: June 2, 2017   Expiry: June 2, 2018


How's your balanced fund?

Diversifying is one of the keys to reducing interest rate risk and increasing return potential. That’s why Sun Life MFS Global Total Return Fund not only invests in bonds outside of Canada, it also invests in equities worldwide. The result: five-star performance with true global diversification.

Recorded: April 4, 2017   Expiry: April 4, 2018

How's your balanced fund?