James Telfser, Partner and Portfolio Manager at Aventine Asset Management discusses his strategy for the Canadian equity market amid the continuing fallout from the Brexit.
James Telfser2020-07-24T19:17:20+00:00July 4th, 2016|Research|
About the Author: James Telfser
James is the Managing Partner and Portfolio Manager at Aventine. He is co-lead Portfolio Manager of the Aventine Canadian Equity Fund and the Stable Income Fund where he drives the firm’s Active Value security selection process. James is a also member of Aventine’s investment strategy committee.
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