Synopsis
Listen as Mawer Investment Management Ltd. takes a deeper dive into the investment philosophy and strategies that have helped put the odds in their clients favour for over 40 years.
Episodes
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Playing the plan: Mawer’s Canadian small cap portfolio | EP91
11/08/2021 Duration: 30minThe tremendous IPO activity led by tech companies; our evaluation process for a company prior to it becoming public; and recent matrix meeting outcomes for the portfolio.
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Playing the plan: Mawer’s emerging markets equity portfolio | EP90
28/07/2021 Duration: 22minPhilip Fisher’s continuous relevance; determining fair value ranges for blitzscalers; and potentially overlooked opportunities in Russia and Kazakhstan.
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Quarterly update | Q2 2021 | EP89
14/07/2021 Duration: 20minA review of the quarter: the high-level themes have continued.
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1/Ntelligence™: Our take on portfolio construction | EP88
07/07/2021 Duration: 27minCIO Paul Moroz walks us through his “best practices” portfolio construction checklist.
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Why investors really need to understand the mechanics of Bitcoin | EP87
16/06/2021 Duration: 49minOpening the Pandora’s box of Bitcoin, societal trust, and why investors might not, but need to, fully understand the technology.
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Playing the plan: Mawer’s U.S. equity portfolio | EP86
19/05/2021 Duration: 35min“Making the macro micro” around demand trends, inflation concerns, valuations, and earnings. We discuss Comcast, Visa, Dollar General, Alphabet, and more.
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Deep dive: The pharmaceutical industry | EP85
05/05/2021 Duration: 37miniTunes description: A close look at our research methods to understand trends, opportunities, and challenges in the pharmaceutical industry.
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Playing the plan: Mawer’s Canadian equity portfolio | EP84
21/04/2021 Duration: 23minHow thinking like a deer in the forest (situational awareness) and other risk management process tinkering has helped the team. In addition, thoughts on the potential CP Rail and Kansas City Southern deal and Telus International IPO.
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Quarterly update | Q1 2021 | EP83
31/03/2021 Duration: 32minOne year since lockdown: CIO Paul Moroz summarizes the major market themes of the past four quarters and how it has (and hasn’t) affected our process and way of looking at the world.
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Playing the plan: Mawer’s EAFE large cap portfolio | EP82
24/03/2021 Duration: 20minHow the EAFE LC team is improving the overall process and a deeper look at holdings DSV, Kuehne+Nagel, and Anglo American.
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Playing the plan: Mawer’s global equity portfolio | EP81
24/02/2021 Duration: 20minDeputy CIO Christian Deckart discusses market performance in a “story of three quarters” and some new holdings we added to the portfolio—Admiral Group and Novo Nordisk.
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Post-mortem: Learnings from 2020 | EP80
16/02/2021 Duration: 25minCIO Paul Moroz discusses some of the Research team’s 2020 learnings—highlights include the challenge of using the market as a feedback system and the “Ben Stiller Theory.”
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Playing the plan: Mawer’s international equity portfolio | EP79
27/01/2021 Duration: 28minLead portfolio manager, David Ragan, discusses how the portfolio did over the past year, why some companies were more resilient than others, and what makes skepticism a competitive advantage.
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Quarterly update | Q4 2020 | EP78
20/01/2021 Duration: 21minA look back on the major investment themes of 2020, and a look ahead at some of the risks and opportunities on our radar.
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Holiday Special: Mawer's Annual Poem | EP77
18/12/2020 Duration: 04minOur three hosts narrate Mawer's timely variation of "'Twas the week before Christmas"—an annual review of the year. Stay for the bloopers!
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Game on: A deep-dive into the gaming industry | EP76
09/12/2020 Duration: 48minFront-of-mind investment learnings from equity analysts Justin Anderson and Joshua Samuel on the dynamic, evolving gaming universe.
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Nuances to portfolio construction | EP75
25/11/2020 Duration: 33minMawer U.S. Equity Portfolio Manager, Grayson Witcher, takes us through how the team approaches portfolio construction; assessing themes, offsets, and opportunities through holdings Nike, Carrier, UnitedHealth, Fastenal, and more.
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Playing the plan: Mawer’s Canadian equity portfolio | EP74
21/10/2020 Duration: 31minA deep dive into three new holdings: Stella-Jones, Ritchie Bros., and Granite REIT, and what we mean when we say “winning by not losing.”
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Quarterly update | Q3 2020 | EP73
12/10/2020 Duration: 17minA review of the quarter: the ongoing impacts of COVID-19 on economic activity, continuing fiscal and monetary stimulus, and the run-up to the U.S. election.
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Playing the plan: Mawer’s Canadian bond portfolio | EP72
30/09/2020 Duration: 19minCrista Caughlin, lead portfolio manager of Mawer’s fixed income strategies, discusses potential impacts of increasing global debt in a low interest rate environment and the three economic scenarios top of mind for the bond team.