AGF Logo
  • Home
  • Industry and Expert Views
  • Investing and Market Views
  • Capitol Insights
  • Français
  • AGF.com
Skip to content
AGF logo
Insights and Market Perspectives
  • Investing and Market Views
  • Capitol Insights
  • Contributors
  • Français
  • Search
Search
Close
Are Software Stocks Ready to Reboot?

  • Investing and Market Views

For Print Only Logo
Insights and Market Perspectives

Are Software Stocks Ready to Reboot?

Author: Wyeth Wright

July 30, 2024

AGF Investments Inc.’s Wyeth Wright discusses the investment characteristics he looks for in a software stock.

About AGF Management Limited

Founded in 1957, AGF Management Limited (AGF) is an independent and globally diverse asset management firm. Our companies deliver excellence in investing in the public and private markets through three business lines: AGF Investments, AGF Capital Partners and AGF Private Wealth.

AGF brings a disciplined approach, focused on incorporating sound, responsible and sustainable corporate practices. The firm’s collective investment expertise, driven by its fundamental, quantitative and private investing capabilities, extends globally to a wide range of clients, from financial advisors and their clients to high-net worth and institutional investors including pension plans, corporate plans, sovereign wealth funds, endowments and foundations.

Headquartered in Toronto, Canada, AGF has investment operations and client servicing teams on the ground in North America and Europe. AGF serves more than 800,000 investors. AGF trades on the Toronto Stock Exchange under the symbol AGF.B.

For further information, please visit AGF.com.

© 2026 AGF Management Limited. All rights reserved.

Written by

Wyeth Wright

Wyeth Wright, CFA

Senior Analyst

AGF Investments Inc.

More from Wyeth Wright

  • Investing and Market Views

Agentic AI: A Game Changer for Software Stocks

August 18, 2025

Get perspectives straight to your inbox.

Subscribe now

More articles like this

Asset Allocation Committee’s Q1 2026 Update: Tweaking Geographic Exposure to Equities

  • Investing and Market Views

Asset Allocation Committee’s Q1 2026 Update: Tweaking Geographic Exposure to Equities

David Stonehouse | January 23, 2026

David Stonehouse, interim CIO at AGF Investments Inc., summarizes the latest quarterly update from the firm’s Asset Allocation Committee.

Venezuela, Iran and the Geopolitical Impact on Oil Prices

  • Investing and Market Views

Venezuela, Iran and the Geopolitical Impact on Oil Prices

Pulkit Sabharwal | January 15, 2026

If there was any doubt that geopolitics would continue to play an outsized role in financial markets this year, mass…

A Quick Take on Canada’s Federal Budget

  • Investing and Market Views

A Quick Take on Canada’s Federal Budget

Tom Nakamura | November 7, 2025

AGF Investments’ Tom Nakamura gives his initial reaction to the Canada’s new federal budget that will result in a growing deficit next year, but one that is not as large as some expected.

AGF Logo
  • Investing and Market Views
  • Capitol Insights

Follow AGF

© 2026 AGF Management Limited. All rights reserved.

  • Terms & Conditions
  • Privacy
  • AGF.com