As of July 20, 2020, Sun Life Global Investments (Canada) Inc. changed its name to SLGI Asset Management Inc. It will take some time to update our websites, materials and forms and until that is complete, all references to Sun Life Global Investments (Canada) Inc. will mean SLGI Asset Management Inc. We’ve also brought together Sun Life mutual fund, segregated fund, annuity and guaranteed investment product businesses under the collective brand of Sun Life Global Investments.

Sun Life Global Investments

Portfolio Management Team

The SLGI Asset Management Inc. Portfolio Management Team manages the firm's sub-advisory, asset manager relationships and the asset allocation solutions for Canadian investors.

The team benefits from access to a global network of investment professionals and some of the best asset managers around the world. With a focus on risk management, their rigorous selection and monitoring process provides access to leading asset managers who use insight, innovation and informed decisions to manage some of the highest-quality investment solutions for Canadian investors.

In managing asset allocation portfolios, the team incorporates strategic asset allocation principles with tactical overlay management and a strong fund manager oversight process to add value and/or reduce risk to investor portfolios over time.

As one of Canada's oldest and most trusted financial institutions, Sun Life is known for its time-tested risk management strategies. SLGI Asset Management Inc. incorporates these proven risk management strategies into all its mandates.

Sun Life Granite Managed Solutions*

Sun Life Granite Managed Solutions can support a wide range of investment objectives, from capital preservation to capital growth to income.

Sun Life Milestone Funds

Sun Life Milestone Funds provide a simplified investment solution with a guaranteed maturity value that can help with your investment goals, even in turbulent markets.

Sun Life Multi-Strategy Bond Fund

Sun Life Multi-Strategy Bond Fund uses a multi-strategy approach to provide diversified exposure to differing investment philosophies within the Canadian fixed income market, along with a small strategic allocation to global fixed income.