Head Office: Vancouver, British Columbia Total Assets Under Management: C$21.0 billion Portfolio Managers: 23 Investment Style: Quantitative core Investment Philosophy and Approach: CC&L's objective is to provide a low-risk investment solution to traditional active management. This incorporates the sound discipline of a quantitative approach with a solid fundamental foundation. The process takes advantage of both informational and behavioural inefficiencies inherent in the market to evaluate the companies in the Canadian equity market. The portfolio is constructed by ranking the universe of stocks based on their forecasted returns and risks. |