ACCESS. CHOICE. SOLUTIONS.

Pier 21 Asset Management provides exclusive investment solutions through selected global partners, otherwise not available in Canada. Their decades of experience, complementary investment styles, and demonstrated track records of success enable us to deliver innovative solutions tailored to meet the needs of our clients.

We conduct rigorous and disciplined due diligence, investment management oversight and compliance monitoring to ensure our sub-advisor partners meet institutional criteria. Our team is fully accountable for all fiduciary responsibilities to clients. We offer local client servicing.

Our offering is based on three grounding principles:   Access.   Choice.   Solutions.

ACCESS.

Institutional investors can access our strategies exclusively through Pier 21 Asset Management by way of Canadian-domiciled institutional pooled funds, segregated mandates, model portfolios and defined contribution platforms. As a registrant, we offer a turn-key entrée into Canada for our exclusive money manager partnerships.

CHOICE.

We have spent several years searching the globe to uncover time-tested global investment strategies to offer to our clients. Our select portfolio managers offer expertise across a wide spectrum of international asset classes.

In order to meet the demands of the institutional marketplace, our strategies exhibit a wide array of complementary investment characteristics such as:

  • Absolute-Return Focus
  • Low Volatility
  • High Conviction
  • Quality-Driven
  • Thematic Approach

SOLUTIONS.

Pier 21 is dedicated to providing Canadian institutional investors with best-in-class foreign investment management expertise. Some of our strategies are:

  • Pier 21 WorldWide Equity
  • Pier 21 International Equity
  • Pier 21 WorldWide Ethical

Quality mega-cap and high conviction portfolios of 30 stocks, selected through the same and proven investment process that built our sub-advisor’s reputation over the last 30 years.


  • Pier 21 Global Value

A low-volatility, concentrated, benchmark-agnostic portfolio that invests in developed market companies, featuring disciplined risk controls for capital protection.


  • Pier 21 Global Emerging Markets

A low-volatility, concentrated, 40 large cap quality stocks, combining fundamental stock research with sovereign and market analysis, where risk management is a primary component of the investment process.