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
  • Industry and Expert Views
  • Investing and Market Views
  • Capitol Insights
  • Contributors
  • Français
  • Search
Search
Close
A case for preferred shares

  • Investing and Market Views

For Print Only Logo
Insights and Market Perspectives

A case for preferred shares

Author: Andy Kochar

January 29, 2018

The Canadian preferred share market has been a popular vehicle of choice among retail investors thanks to a number of benefits relative to traditional bonds. Andy Kochar offers his thoughts on why the asset class is well positioned to continue delivering reasonable value.

 

Can’t view the video? Click here to view in your browser. 

For a deeper look into the Canadian preferred share market, see Andy’s recent Market Insight HERE.

 

 

About AGF Management Limited

Founded in 1957, AGF Management Limited (AGF) is an independent and globally diverse asset management firm. AGF brings a disciplined approach to delivering excellence in investment management through its fundamental, quantitative, alternative and high-net-worth businesses focused on providing an exceptional client experience. AGF’s suite of investment solutions extends globally to a wide range of clients, from financial advisors and individual investors to institutional investors including pension plans, corporate plans, sovereign wealth funds and endowments and foundations.

For further information, please visit AGF.com.

© 2022 AGF Management Limited. All rights reserved.

Written by

Andy Kochar

Andy Kochar, CFA®

Vice-President, Portfolio Manager and Head of Global Credit

AGF Investments LLC

More from Andy Kochar

  • Investing and Market Views

Rethinking the Preference for Preferred Shares

September 25, 2020

  • Investing and Market Views

Credit Takes the Lead

July 22, 2020

  • Investing and Market Views

Fighting Back with Sustainable Bonds

May 21, 2020

  • Investing and Market Views

Making Sense of Credit Market Volatility

April 24, 2020

Get perspectives straight to your inbox.

Subscribe now

More articles like this.

Why Real Assets Are at an Inflection Point

  • Investing and Market Views

Why Real Assets Are at an Inflection Point

Steve Bonnyman | May 26, 2022

The outlook for real assets should present opportunities for strategic investors despite heightened market volatility.

Read More
Will the Fed and Other Central Banks Get It Right?

  • Investing and Market Views

Will the Fed and Other Central Banks Get It Right?

Kevin McCreadie | May 20, 2022

Investors should expect market volatility to continue until it is better understood what impact tighter monetary policy will have on inflation and economic growth, says AGF’s CEO and Chief Investment Officer.

Read More
What Happens to Industrial Stocks When Supply Chain Issues Ease?

  • Investing and Market Views

What Happens to Industrial Stocks When Supply Chain Issues Ease?

Wai Tong | May 19, 2022

Transport stocks may be in for one of the bigger shake ups

Read More
AGF Logo
  • Industry and Expert Views
  • Investing and Market Views
  • Capitol Insights
Follow AGF

AGF Web Site Pages © 2022 AGF Management Limited. All rights reserved.

Links
  • Terms & Conditions
  • Privacy
  • AGF.com