AGF Investment Inc. is an independent global asset management firm with offices in Toronto, Boston, Dublin, Beijing and Hong Kong. Founded in 1957, AGF serves more than one million investors with offerings across the wealth continuum. Four principles anchor our firm's approach to investing: shared intelligence, disciplined processes, innovative thinking and a people-first culture.
Stephen Bonnyman is Portfolio Manager of AGF’s Canadian and Global resources portfolios. Working closely with the AGF research teams, Steve focuses on identifying resource companies with solid balance sheets, advantaged cost structures, attractive valuations or unrecognized growth.
He joined AGF in 2013 and has over 20 years of buy and sell side experience covering the global materials industry, including five years of institutional money management.
Steve is a member of the AGF Asset Allocation Committee, which is comprised of senior portfolio managers who are responsible for various regions and asset classes. The AGF Asset Allocation Committee formally meets on a quarterly basis to discuss, analyze and assess the macro-economic environment and capital markets in order to determine optimal asset allocation recommendations.
He was recognized by Brendan Wood International as one of the 50 TopGun Canadian Equity Portfolio Managers in 2009 and a TopGun Canadian Investment Mind in 2011 and 2015/2016.
Prior to joining AGF, Steve was Managing Director and Mining Analyst at a major financial institution, responsible for global company research coverage and equity market analysis. Prior to that, he was an Analyst and Portfolio Manager at two leading asset management firms.
Steve has a Bachelor’s of Science in Geology from McMaster University, an MBA from Dalhousie University and is a CFA charterholder.