Expertly managed and built for diversification

IA Clarington Managed Portfolios are an all-in-one solution actively managed by one of Canada’s most distinguished and highly respected economists, iA Financial Group Chief Economist Clément Gignac.

With IA Clarington Managed Portfolios, you benefit from a tailored solution that’s aligned to your risk tolerance and backed by the strength and deep investment expertise of iA Clarington.


Broad diversification

A broadly diversified portfolio is one of the most important elements of risk-conscious investing for the long term. Since no single asset class will always chart an upward course, spreading your investments across a variety of asset classes can reduce risk and help ensure that you stay on track towards your financial goals.

With IA Clarington Managed Portfolios, professional money managers ensure that your investments are always properly diversified.

The graphic below illustrates how much the performance of each asset class can change from one year to the next, underlining the importance of a diversified portfolio.

Annual Returns of Various Asset Classes


Built for your target-risk profile

The five IA Clarington Managed Portfolios target the optimal balance of return and risk for a variety of investor types.

Target Risk Profile


Managed with experience

Asset allocation driven by economic and market analysis

Led by iA Financial’s Chief Economist Clément Gignac, the portfolio management team uses a flexible and diligent asset allocation process that focuses on global economic and market conditions. As these conditions change, the team can adjust the portfolios to ensure they remain aligned with their broader objectives.

Asset class specialists with broad reach and diversity

Portfolio segments are actively managed by asset class specialists from some of North America’s most respected investment firms. Each focuses on meticulous security selection from a unique perspective, bringing style diversity to the portfolios.

Portfolio Segment Managers


Optimized for today and tomorrow

IA Clarington Managed Portfolios are actively managed and rigorously monitored to ensure that your portfolio remains on track and aligned to your goals and risk tolerance.

icon-pie-chart

Active asset allocation
Positions portfolio for opportunities or risks perceived in the market.

icon-currency

Active foreign currency exposure management
Seeks to enhance return potential and reduce volatility.

icon-verification

Active due diligence
Seeks to ensure that the underlying portfolio segments continue to deliver optimized performance.

icon-calendar

Active rebalancing
Maintains each portfolio within its target-risk level.


Expertly managed and built for diversification

Managed by one of Canada’s most highly respected economists, iA Financial Group Chief Economist Clément Gignac, IA Clarington Managed Portfolios are a one-ticket, actively managed solution designed to meet your clients’ investment goals and streamline your business.


Diversified for clients' target-risk profiles

The five IA Clarington Managed Portfolios are broadly diversified and target the optimal balance of return and risk for a variety of investor types.

Target Risk Profile


Managed with experience

Asset allocation driven by economic and market analysis

Led by iA Financial’s Chief Economist Clément Gignac, the portfolio management team uses a flexible and diligent asset allocation process that focuses on global economic and market conditions. As these conditions change, the team can adjust the portfolios to ensure they remain aligned with their broader objectives.

Asset class specialists with broad reach and diversity

Portfolio segments are actively managed by asset class specialists from some of North America’s most respected investment firms. Each focuses on meticulous security selection from a unique perspective, bringing style diversity to the portfolios.

Portfolio Segment Managers

For additional flexibility, the asset allocation team also makes use of ETFs. With ETFs, the team can quickly and efficiently respond to significant events as well as proactively position the portfolios for anticipated shifts in the market landscape.


Optimized for today and tomorrow

IA Clarington Managed Portfolios are actively managed and rigorously monitored to ensure that your portfolio remains on track and aligned to your goals and risk tolerance.

icon-pie-chart

Active asset allocation
Positions portfolio for opportunities or risks perceived in the market.

icon-currency

Active foreign currency exposure management
Seeks to enhance return potential and reduce volatility.

icon-verification

Active due diligence
Seeks to ensure that the underlying portfolio segments continue to deliver optimized performance.

icon-calendar

Active rebalancing
Maintains each portfolio within its target-risk level.


Built for your business

A one-ticket, turnkey solution, IA Clarington Managed Portfolios give you more time to offer value-added client service and focus on growing your business.

Contact your iA Clarington sales representative to get started today.

Speak with your financial advisor to get IA Clarington Managed Portfolios working for you today.