Inside Moez Kassam’s Bold Playbook: Shorts, Activism & Big Opportunities
How does one of Bay Street’s top fund managers consistently deliver 15% annualized returns while navigating controversy and volatility? In this episode of In the Money with Amber Kanwar, Moez Kassam, Chief Investment Officer & Founder of Anson Funds, shares the secrets behind his success—from finding catalysts in overlooked markets to using activism to unlock…
Read More$8 Billion Fund Manager’s Top 8 Canadian Stock Picks for 2025
Canadian stocks are quietly outperforming U.S. equities—but is this a short-term anomaly or the start of a long-term trend? In this episode of In the Money with Amber Kanwar, Garey Aitken of Franklin Templeton explains why Canadian markets are holding their ground, how he’s navigating political volatility and tariffs, and which sectors and stocks he’s…
Read MoreWhy the Best Fund Manager of 2022 is Betting on Gold, Water, and Infrastructure
Markets are shifting, inflation is sticky, and investors are navigating a new regime. In this episode of In the Money with Amber Kanwar, value investor James Davolos of Horizon Kinetics breaks down the end of easy money, the rise of real assets, and why the next decade of investing will look nothing like the last.
Read MoreTariffs, Market Turmoil + Shareholder Activism in the Age of Chaos
Markets are volatile, tariffs are surging, and investors are bracing for impact. In this episode of In the Money with Amber Kanwar, two seasoned market experts—Frances Horodelski and Darcy Morris of Ewing Morris—discuss macroeconomic chaos, rising interest rates, and dislocated equity markets.
Read MoreThis Isn’t the Bottom: Jeannine LiChong on Tariffs, Recession Fears & Where to Invest Now
Markets are in meltdown mode, but Waratah Capital’s Jeannine LiChong says this isn’t the bottom. On this episode of In the Money with Amber Kanwar, veteran fund manager Jeannine shares how she’s navigating market volatility, tariff uncertainty, and growing recession risks.
Read MoreWhat “Liberation Day” Means For Your Money
On this episode of In the Money with Amber Kanwar, Daniel Dreyfus, CIO at Bornite Capital, shares why we’re not just in another market cycle, but a full-blown structural shift that will redefine economies, financial markets, and your investment portfolio. He explains how tariffs, currency debasement, and slowing growth is setting the stage for stagflation,…
Read MoreHow the US Trade War Can Be Your Biggest Investment Opportunity
Tariffs, tech, and tactical plays—markets are volatile, but Dan Rohinton, VP & Portfolio Manager at iA Global Asset Management, says that while others panic, he’s focused on buying world-class businesses trading at rare discounts.
Read MoreJordan Zinberg Reveals Best Canadian Small-Cap Picks for 2025
Small-cap stocks may be off to a rough start in 2025, but last year they helped Jordan Zinberg, President & CEO of Bedford Park Capital, deliver a remarkable 60% return. Known for his disciplined approach to stock picking and long-term investing, Zinberg is willing to take on short-term downside risk for the potential of outsized…
Read MoreProfit From These 7 Recession-Proof Stocks
Markets may be turbulent, but Rebecca Teltscher, Portfolio Manager at Newhaven Asset Management, is staying ahead with a fundamentals-first, dividend-driven strategy. In this episode of In the Money with Amber Kanwar, she breaks down how defensive sectors like utilities, telcos, and energy are key to navigating today’s uncertain environment—especially with rising risks of stagflation, tariff…
Read MoreIs the US Stock Market Falling Behind?
U.S. stocks have been underperforming since Donald Trump was sworn in as President in January but James Cook, Portfolio Manager at Matco says he’s not ready to give up on American equities just yet. Still, the global fund manager also thinks there’s opportunity outside of the U.S., specifically in markets like Japan – where Warren…
Read More