Multi-Family Office

Updated:

iA Global Asset Management

iA Global Asset Management is the multi-family office arm of iA Financial Group, deploying capital through a manager-of-managers framework from Quebec...

iA Global Asset Management

iA Global Asset Management was established as the external fund-of-funds unit within iA Financial Group, a publicly traded insurance and wealth management conglomerate founded in 1892. The firm serves as the gateway for families and institutions seeking exposure to curated third-party managers rather than captive in-house products. Its parent company, iA Financial Group, manages over CAD 200 billion in assets across its insurance, savings, and retirement divisions, providing iA Global with institutional-grade operational infrastructure and manager access typically reserved for large pension plans. The platform constructs multi-manager portfolios across four primary asset classes: global equities, fixed income, real assets, and private market alternatives. On the public side, iA Global selects external fund managers running concentrated long-only equity and credit strategies. Within alternatives, the firm allocates to private equity, infrastructure, and real estate funds—typically through primary fund commitments rather than direct co-investments. Confirmed manager relationships include several large Canadian and US-based asset managers, though the firm does not publicly disclose a full roster of underlying funds. Geographic exposure tilts toward North America and developed Europe, with selective allocations to Asia-Pacific. iA Global operates from iA Financial Group's headquarters in Quebec City, with additional distribution and investment resources accessible through the parent company's Montreal and Toronto offices. The firm does not publish a standalone AUM figure, though its parent's wealth management division reported over CAD 40 billion in assets under administration as of early 2025. In September 2024, iA Financial Group completed the acquisition of two registered investment advisory firms in the US, signaling an intent to expand its external manager platform beyond Canada. The firm's structural differentiator lies in its insurance-company parentage. Unlike independent multi-family offices that negotiate manager access on a client-by-client basis, iA Global benefits from iA Financial Group's bulk purchasing power and decades-long manager relationships. This hybrid architecture allows the firm to offer institutional share classes and fee schedules to family office clients who would not qualify for such terms independently.

Website
iagm.ca

General information

Firm type

Multi Family Office

Year founded

AUM

Undisclosed

Location

Region

North America

Country

Canada

City

Quebec City

Corporate office

Quebec City, Quebec, Canada

Frequently asked questions

Who runs investment decisions at iA Global Asset Management?

iA Global Asset Management operates within iA Financial Group's wealth management division. The firm does not publicly name a single CIO for its external manager platform. Investment decisions—including manager selection, portfolio construction, and ongoing due diligence—are made by an internal investment committee drawing on the parent company's institutional research and risk management resources.

How does iA Global Asset Management source external managers?

The firm sources managers through iA Financial Group's institutional relationships, which span several decades across public and private markets. iA Global conducts proprietary due diligence on candidate funds, evaluating track records, investment processes, and operational infrastructure. The parent company's position as a large institutional allocator provides access to capacity-constrained managers that smaller family offices typically cannot reach independently.

Does iA Global participate in fund commitments or direct deals?

iA Global primarily commits to third-party funds rather than pursuing direct co-investments or company-level deals. The firm acts as a fiduciary gatekeeper, selecting specialist managers within each asset class and monitoring their performance over time. This fund-of-funds approach shifts single-company risk to the underlying managers while allowing iA Global's clients to access diversified private market exposures.

What investment stages does iA Global typically target?

Within private markets, iA Global focuses on primary fund commitments across buyout, growth equity, and infrastructure strategies. The firm does not publicly emphasize venture capital or seed-stage investing. Its public-market allocations cover both developed and emerging market mandates, with manager selection prioritizing concentrated, benchmark-agnostic strategies over passive or index-tracking approaches.

How is iA Global Asset Management related to iA Financial Group?

iA Global Asset Management is a fully integrated subsidiary of iA Financial Group, a publicly traded Canadian insurance and wealth management company listed on the Toronto Stock Exchange. The parent company provides iA Global with custody, compliance, manager research, and distribution infrastructure. This relationship allows iA Global to operate with institutional economics while serving individual family office and high-net-worth clients.

Where does the underlying client wealth come from?

iA Global does not disclose the specific wealth origins of its family office clients. The firm serves a mix of Canadian and international high-net-worth families, foundations, and smaller institutional investors. Client confidentiality and the manager-of-managers structure mean individual family names and wealth sources are not publicly identified.

What is iA Global's known posture on co-investments alongside external GPs?

The firm does not publicly emphasize direct co-investment activity. Its core model relies on fund commitments to external general partners rather than side-by-side co-investment vehicles. This posture reflects the parent company's preference for diversified fund-level exposure over concentrated single-asset co-investments.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

Need institutional-grade insight on family offices?

Altss delivers:

Principals with verified direct contactsAllocation history by asset classOSINT-derived deal signals
Book a demo

Prefer a guided tour?

We’ll walk you through:

Interactive funding timelinesCustom mandate & allocation filters
Book a demo

Browse by category