Caisse de dépôt et placement du Québec Caisse > Anglais > Our Depositors > Depositor Services > Fund Management  

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Fund Management

Exercising our Profession as an Investor for our Depositors


Managing funds is the very essence of the Caisse’s work as an investor on behalf of its depositors.

In order to achieve the best return possible, the Caisse uses different types of investments – bonds, publicly-listed stocks, real estate investments and private equity. These investments are made in Québec, in Canada and elsewhere around the world.

The service agreement established with each depositor contains the parameters under which the Caisse conducts its investment activities. The Caisse is thereby committed to:

  • Investing the funds it receives from the depositor with the objective of generating an optimal return, in accordance with the depositor’s investment policy;
  • Actively managing investments in order to achieve a return superior to the market indices;
  • Performing the necessary research and market monitoring in order to identify attractive, potentially profitable investment opportunities;
  • Developing and proposing new investment products that will help it achieve its performance objectives.


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Additional Information
Depositors' Investment Policies
Specialized Portfolios' Investment Policies
Investment Philosophy
Depositors and Risks Team
Risks Committee (RC)
Our Profession, Investor
Annual Report
Service Agreement

 

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