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.
Tony Genua has been Portfolio Manager of AGF's U.S. growth portfolios since he joined AGF in 2005. Throughout his more than 30-year career in portfolio management, Tony has remained committed to his proven investment strategy that identifies leading growth companies in every cycle.
Tony's portfolio management experience includes retail mutual fund investments, sub-advisory platforms and institutional portfolios. Tony's direct experience as a portfolio manager is complemented by the three years he spent as a market strategist on Wall Street. Tony is also 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.
Tony earned his BA in Economics from the University of Western Ontario.
Senior Vice-President and Portfolio Manager
AGF Investments Inc.