Marc Gagnon

MBA, CFA
Vice-President, Portfolio Manager, North American Equities
iA Global Asset Management Inc.

Marc Gagnon

Marc has over 25 years of investment industry experience. He employs a proprietary cash-flow model to identify high-quality, industry-leading companies with attractive dividend growth potential.

Marc has an MBA from Laval University and received his CFA designation in 1995.

"I'm looking for quality businesses with consistently strong earnings and free cash flows -- the key ingredients of long-term dividend growth."

Marc's philosophy

Marc's goal is to provide investors with capital appreciation and attractive income streams using a combination of top-down and bottom-up approaches to security selection. He focuses on companies that stand out as leaders in their respective industries.