Philip Coté

Philip Coté

Director

Philip è Director di bfinance Canada dove assiste gli investitori istituzionali della regione con servizi di consulenza. Prima di entrare in bfinance nel 2019 ha lavorato per oltre 16 anni nei “financial services” come consulente sugli investimenti, sulla ricerca dei gestori e sviluppo dei prodotti. Più recentemente, Philip è stato direttore del Pavilion Alternatives Group dove ha guidato la ricerca sui gestori e la due diligence nei mercati privati, con particolare attenzione al settore “real estate”, “infrastructure” e “private debt”. All'inizio della sua carriera Philip ha lavorato presso CIBC Asset Management e National Bank. Philip è certificato come “Chartered Financial Analyst” dal CFA Institute ed ha altrtesi’ ottenuto la certificazione di “Financial Risk Management”. Philip ha conseguito la laurea in economia e commercio presso la McGill University.


Ulteriori approfondimenti dal team:

bfinance’s quarterly report in May 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major asset...

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From the pages of the Financial Times and Reuters to the hallways of investment conferences, noise of an ‘ESG Backlash’ has echoed around the asset management industry through recent months.

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The 2023-4 period has brought new challenges for institutional investors, affecting both strategy and investment manager selection – the task of identifying the right products and the right partners...

Although two years have now passed since the Federal Reserve started rapidly hiking interest rates, the likelihood that your hedge fund manager will have a ‘hurdle rate’ for their performance fees...

This report provides a concise introduction to the investment characteristics of carbon compliance credits and the growing use of this emerging asset class by hedge funds, traditional asset managers...

Investor appetite for investment grade fixed income grew significantly last year but active managers are coming under scrutiny. This report examines corporate bond manager performance and...