Company Summary

Strathy focuses on both traditional and alternative investment management. Each of Strathy’s products fits strategically along the Strathy risk – return profile curve. Strathy also manages segregated accounts for institutions and high net-worth individuals. Our goal is to preserve our clients’ capital by focusing on absolute returns with controlled volatility. A contrarian and value investment approach is the methodology used to execute our investment philosophy.

Strathy’s attention to its philosophy is supported by significant personal investments in our products. We encourage our partners and ensure Strathy’s high standards of governance and compliance.

Fairlane Asset Management (now called Strathy Investment Management Limited) and Strathy Investments Limited merged in 2005, resulting in a firm with over 34 years of investment experience.

Source: Strathy Investment Management Ltd.

Unique Value Proposition

With focus in fixed income investments, we identify anomalies in interest rates and individual securities through a rigorous valuation process that utilizes economic analysis, historic time series, rich cheap analysis, swaps and relative value. Within the credit markets we strive to find securities that are mispriced, misunderstood or out of favour, and issued by solid companies with realistic credit ratings and acceptable covenants. Opportunities in fixed income are not limited specifically to credit or the Canadian market.

Source: Strathy Investment Management Ltd.

AUM ($Bil)

Year Founded


Key Personnel

Philip Strathy, Manager


30 St. Clair Ave. West
Suite 1105
Toronto, Ontario
M4V 3A1

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