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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Quarterly update | Q4 2019 | EP50
15/01/2020 Duration: 19minFeaturing insights from the fourth quarter from Balanced and Global Balanced Fund co-manager and Asset Mix Chair, Greg Peterson.
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Playing the plan: Mawer’s Canadian equity portfolio | EP49
04/12/2019 Duration: 27minDirector of Research and Canadian equity lead manager, Vijay Viswanathan, discusses risks and opportunities in Canada, the cannabis industry’s value chain, and potential transformations to the food retailer business model.
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Technical debt | EP48
20/11/2019 Duration: 33minThis episode, we interview our Head of Information Security and Infrastructure, Dwight Pratt, and Equity Analyst, Karan Phadke, on the ramifications of technical debt to businesses and investors.
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Playing the plan: Mawer’s emerging markets equity portfolio | EP47
06/11/2019 Duration: 23minLead portfolio manager, Peter Lampert, discusses the current environment for emerging markets and what opportunities and challenges we’re seeing for the portfolio.
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Sustainable Development Goals: What they are and how Canada measures up | EP46
16/10/2019 Duration: 21minVice President of the Community Foundations of Canada, JP Bervoets, explains the UN’s sustainable development goals—and how individuals and corporations can get on board to make a difference.
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Quarterly update | 3Q 2019 | EP45
14/10/2019 Duration: 15minFeaturing insights from the third quarter from Balanced and Global Balanced Fund co-manager and Asset Mix Chair, Greg Peterson.
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Playing the plan: Mawer’s global small cap portfolio | EP44
02/10/2019 Duration: 22minEquity analyst, John Wilson, shares how the team approaches separating signal from noise, why defensive business models make for a resilient portfolio, and the advantages of a “cookie-cutter” growth runway in a slowing market environment.
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Playing the plan: Mawer’s U.S. equity portfolio | EP43
04/09/2019 Duration: 44minU.S. equity co-manager, Colin Wong, discusses the big picture backdrop (interest rates, U.S.-China trade war) and then dives deep into the investment thesis behind Microsoft, A.O. Smith, and AptarGroup. Bonus: how the team’s “bathroom list” review inspired an initiation in Hershey.
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Making a difference: Impact investing | EP42
21/08/2019 Duration: 46minCalgary Foundation Board and Impact Investing Committee Chair, Bob Gibson, and Director, Investments, Lauren Frosst, discuss the Foundation’s definition of impact investing, why the foundation became involved, and how they got started.
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Playing the plan: Mawer’s international equity portfolio | EP41
07/08/2019 Duration: 23minLead portfolio manager, David Ragan, discusses some big picture risks (Brexit and U.S.-China trade wars) and then dives deep into the investment thesis behind LVMH and Bunzl.
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Lessons from 33 years of investing | EP40
24/07/2019 Duration: 39minInvesting legend Martin Ferguson, pioneer of the award-winning Mawer Canadian small-cap strategy shares the lessons he learned over his 33-year career.
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Trader talk: Every BEEP matters | EP39
18/07/2019 Duration: 33minEquity trader, Jeff Wilson, delves into the in-house “B-E-E-P” framework the trading team has built: Best Execution, Education, and Process. “To achieve the most consistent amount of positive outcomes, you can't actually impact the outcome, but you can impact the process that develops outcomes.”
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Quarterly update | 2Q 2019 | EP38
11/07/2019 Duration: 14minFeaturing insights from the second quarter from Balanced and Global Balanced Fund co-manager and Asset Mix Chair, Greg Peterson.
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Playing the plan: Mawer’s global equity portfolio | EP37
12/06/2019 Duration: 14minDeputy CIO, Christian Deckart, discusses everything from big picture risks to company specifics on this global equity portfolio episode.
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Mawer Insight: Q&A with CIO | EP36
29/05/2019 Duration: 35minCIO, Paul Moroz, answers clients’ questions about the current economic environment and how Mawer is positioning its portfolios.
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Deep dive: The U.S. healthcare industry | EP35
22/05/2019 Duration: 19minEquity analyst and previous biomedical researcher, Amit Shah, discusses the healthcare industry in the U.S.
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Playing the plan: Mawer’s Canadian small cap portfolio | EP34
08/05/2019 Duration: 25minLead manager Jeff Mo discusses the psychology that drove the Canadian economy over the past 6 months, the correlation between Canadian and emerging markets equities, and what a holding “meeting our expectations” means at Mawer.
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Quarterly update | 1Q 2019 | EP33
09/04/2019 Duration: 17minFeaturing insights from the first quarter from Balanced and Global Balanced Fund co-manager and Asset Mix Chair, Greg Peterson.
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Playing the plan: Mawer’s Canadian equity portfolio | EP32
03/04/2019 Duration: 40minDirector of Research and Canadian equity lead manager Vijay Viswanathan discusses the overall Canadian economy, cozy oligopolies, and the amount of foreign exposure in the portfolio.
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Decentralized structures: a competitive advantage | EP31
13/03/2019 Duration: 25minEquity analyst John Wilson discusses how decentralized organizations can maintain agility and operational excellence as a defense to the negative aspects of change.