BCI’s public markets program invests in public equity and fixed income markets around the world. Our diverse investment and risk management strategies and long-term investment horizon provide us with the flexibility to capture and capitalize on diverse investment opportunities, including dislocations presented in volatile markets.
With $147.6 billion in assets under management, we deploy capital into targeted markets through our in-house, active investment teams combined with select, high-calibre and specialized external partners using a diverse mix of financial instruments, investment strategies, and partnership structures. We embed ESG in our investment analysis and decision-making, as we believe that the ESG practices of a company can make a material difference to their financial performance.