Ani Markova, MBA, LIFA, CIM, CFA

Vice-President and Portfolio Manager

AGF Investments Inc.

Ani is a member of the AGF Resources team and a lead portfolio manager of AGF’s precious metals portfolios. She combines a top-down approach to asset and sector allocation with a bottom-up approach to individual stock selection. She joined AGF in 2003 as an Analyst, covering the Industrials sector and later the Materials sector for the North American equity research team.

Recent Articles from this contributor

3 reasons why investors should feel confident about gold’s future

AGF’s Ani Markova gives her perspective on why gold prices may rally after being hit…

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Gold stocks positioned for an upward reversion

Gold bullion prices have benefited from market uncertainty this year, yet gold stocks have lagged….

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Gold in today’s volatile market

In early January, we published a note titled “Are you worried about a correction?” where…

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Are you worried about an equity market correction?

January 2018 marks the 103rd month of the current bull market, the third longest in U.S. history, surpassed only by the booms of the 1960’s and 1990’s. Considering such bull market streaks have averaged five years since 1950, investors may naturally question when a correction is set to take place.

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Seasonality favours gold

Gold performed quite well in 2017, ending the year above the US$1300 level. As we…

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Reasons behind the gold rally

Gold bullion has rallied around 10% since July as geopolitical tensions and natural disasters have…

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Is your portfolio insured?

Precious Metals Insights from the desk of Ani Markova As many investors know, the summer…

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