
These Podcasts let you hear about Signature funds directly from the analysts and portfolio managers at Signature Global Asset Management.
October 11, 2018
Geof Marshall
Portfolio Manager
Recent market volatility
October 4, 2018
Joshua Varghese
Portfolio Manager
New NAFTA agreement 
September 28, 2018
Geof Marshall
Portfolio Manager
Canadian energy sector
September 21, 2018
Geof Marshall
Portfolio Manager
Impact of NAFTA negotiations
September 13, 2018
Geof Marshall
Portfolio Manager
Interest rate hikes in Turkey 
September 6, 2018
Geof Marshall
Portfolio Manager
Emerging market stresses
August 23, 2018
Geof Marshall
Portfolio Manager
Signature Corporate Bond Fund
August 16, 2018
Geof Marshall
Portfolio Manager
Turkey's currency crisis 
August 9, 2018
Geof Marshall
Portfolio Manager
Prospect of Tesla going private
August 3, 2018
Geof Marshall
Portfolio Manager
Signature income funds 
July 13, 2018
Geof Marshall
Portfolio Manager
Bank of Canada interest rate hike 
May 24, 2018
Geof Marshall
Portfolio Manager
Federal Open Market Committee and inflation 
April 20, 2018
Geof Marshall
Portfolio Manager
Overview of the market and Canadian economy 
April 6, 2018
Geof Marshall
Portfolio Manager
Signature's "income asset classes for income" strategy 
March 29, 2018
Joshua Varghese
Portfolio Manager
REITs given today’s environment 
March 22, 2018
Geof Marshall
Portfolio Manager
Implications of the Fed's recent rate hike 
March 2, 2018
Kevin McSweeney
Portfolio Manager
Growth opportunities of toll road company Transurban 
February 23, 2018
Geof Marshall
Portfolio Manager
Update on the bond and equity markets
January 18, 2018
Geof Marshall
Portfolio Manager
BoC's interest rate hike 
January 4, 2018
Geof Marshall
Portfolio Manager
Four key elements of the U.S. tax reform
December 1, 2017
Geof Marshall
Portfolio Manager
Real estate holdings
November 23, 2017
Geof Marshall
Portfolio Manager
RBC: Global Systematically Important Bank
November 17, 2017
Geof Marshall
Portfolio Manager
Market activity and tax reform progresses in the US 
November 9, 2017
Geof Marshall
Portfolio Manager
High-yield bond market and Trump’s tax proposal 
November 3, 2017
Geof Marshall
Portfolio Manager
Venezuela's bond market 
October 26, 2017
Geof Marshall
Portfolio Manager
The central banks (BoC, ECB and the Fed) 
October 19, 2017
Geof Marshall
Portfolio Manager
IMF meeting in Washington 
October 12, 2017
Geof Marshall
Portfolio Manager
Market update 
September 21, 2017
Geof Marshall
Portfolio Manager
Democrats to raise the U.S. debt ceiling 
September 14, 2017
Geof Marshall
Portfolio Manager
Impact of the stronger Canadian dollar 
September 8, 2017
Geof Marshall
Portfolio Manager
Political and economic responses of the U.S. to the hurricanes 
August 25, 2017
Geof Marshall
Portfolio Manager
Debt ceiling debate in the U.S. 
August 17, 2017
Geof Marshall, Brad Benson
Markets (Europe, U.S.), Canada Goose
August 10, 2017
Geof Marshall
Portfolio Manager
Portfolio activity in the Signature income funds 
July 20, 2017
Geof Marshall
Portfolio Manager
U.S. politics 
July 14, 2017
Geof Marshall
Portfolio Manager
Bank of Canada's decision to raise interest rates 
July 6, 2017
Geof Marshall
Portfolio Manager
Rising interest rates and the Canadian dollar
June 28, 2017
Geof Marshall and Joshua Varghese
European banking system 
June 22, 2017
Geof Marshall Portfolio Manager
Secular pressure 
June 15, 2017
Geof Marshall Portfolio Manager
North American rates market 
June 9, 2017
Kevin McSweeney
Portfolio Manager
Geopolitical events 
June 1, 2017
Geof Marshall Portfolio Manager
Signature High Income Fund and Diversified Yield Fund 
May 25, 2017
Geof Marshall Portfolio Manager
Interest rates in Canada and the U.S. 
May 18, 2017
Geof Marshall Portfolio Manager
Politics in the U.S. 
May 9, 2017
J.P. Bry Portfolio Manager
Impact of markets from French election results 
May 4, 2017
Geof Marshall Portfolio Manager
Home Capital 
April 27, 2017
Geof Marshall Portfolio Manager
French presidential election 
April 20, 2017
Geof Marshall
Portfolio Manager
Credit cycle 
April 17, 2017
Matthew Strauss
Portfolio Manager
Recent outperformance of emerging market equities 
April 13, 2017
Geof Marshall
Portfolio Manager
Key macro themes the Signature team is watching 
April 6, 2017
Geof Marshall
Portfolio Manager
Trends in European retail real estate
March 30, 2017
Geof Marshall
Portfolio Manager
Signature holding update: Boralex 
March 24, 2017
Geof Marshall
Portfolio Manager
Canadian 2017 Federal Budget 
March 9, 2017
Geof Marshall
Portfolio Manager
Signature High Income Fund and Diversified Yield Fund 
March 2, 2017
Geof Marshall
Portfolio Manager
Recap of the week’s market events 
February 23, 2017
Geof Marshall
Portfolio Manager
The lack of clarity on U.S. fiscal stimulus policies 
February 9, 2017
Geof Marshall
Portfolio Manager
Trump Administration and its impact on the markets 
February 2, 2017
Geof Marshall
Portfolio Manager
U.S. trade ramifications 
January 26, 2017
Geof Marshall
Portfolio Manager
Strong stocks and weak government bonds 
January 19, 2017
Geof Marshall
Portfolio Manager
"Beige Book" press release 
January 12, 2017
Geof Marshall
Portfolio Manager
Volatility in the currency market 
January 5, 2017
Geof Marshall
Portfolio Manager
Strength of the U.S. dollar 
December 15, 2016
Geof Marshall
Portfolio Manager
Fed's interest rate increase 
December 1, 2016
Geof Marshall
Portfolio Manager
Recent developments in the energy sector 
November 24, 2016
Geof Marshall
Portfolio Manager
Floating rate bonds/loans 
November 17, 2016
Geof Marshall
Portfolio Manager
Reviews Signature High Income Fund 
November 10, 2016
Geof Marshall
Portfolio Manager
Trump presidency 
November 3, 2016
Geof Marshall
Portfolio Manager
What a Donald Trump presidency may do to the markets 
October 31, 2016
Eric Bushell
Portfolio Manager
Global macro environment 
October 27, 2016
Geof Marshall
Portfolio Manager
AT&T and DH Corp. 
October 20, 2016
Geof Marshall
Portfolio Manager
Federal Open Market Committee (FOMC) meeting 
October 13, 2016
Geof Marshall
Portfolio Manager
Soft equity market 
October 6, 2016
Geof Marshall
Portfolio Manager
Four recent developments 
September 22, 2016
Geof Marshall
Portfolio Manager
Signature High Income Fund 
September 16, 2016
John Shaw
Portfolio Manager
Canadian preferred share market
September 15, 2016
Geof Marshall
Portfolio Manager
M&A activity, ECB and update on key portfolio holdings 
September 8, 2016
Geof Marshall
Portfolio Manager
Spectra Energy and Kinder Morgan 
September 6, 2016
Eric Bushell
Portfolio Manager
Signature Global Income & Growth Fund 
September 1, 2016
Geof Marshall
Portfolio Manager
Signature High Income Fund 
August 26, 2016
Geof Marshall
Portfolio Manager
Signature High Income Fund 
July 8, 2016
Kamyar Hazaveh
Portfolio Manager
Interest rates and a strategy for investing 
June 10, 2016
Kamyar Hazaveh
Portfolio Manager
Global macro and investment environments 
May 27, 2016
Bob Lyon
Global Investment Strategist
Gold and Oil Markets 
May 16, 2016
Josh Varghese
Portfolio Manager
Signature’s “lower for longer” rate environment outlook
May 9, 2016
Kamyar Hazaveh
Portfolio Manager
Signature’s view on global bond markets 
April 29, 2016
Drummond Brodeur
Global Investment Strategist
Currency markets, Outlook on the U.S. dollar
April 22, 2016
Bob Lyon
Global Investment Strategist
Oil and energy markets 
April 15, 2016
Drummond Brodeur
Global Investment Strategist
Macroeconomic view on China 
April 8, 2016
Drummond Brodeur
Global Investment Strategist
Currency markets and its effect on the Japanese yen 
April 4, 2016
Drummond Brodeur
Global Investment Strategist
U.S. data and central bank changes in strategy 
March 21, 2016
Kamyar Hazaveh
Portfolio Manager
Global growth, inflation and the Signature bond portfolios 
March 4, 2016
Drummond Brodeur
Global Investment Strategist Implications of zero/negative interest rates 
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