TCC brings pension-grade investment expertise directly to private wealth investors, offering fixed income, private markets and absolute return strategies previously accessible only to large institutional allocators.
A thoughtful approach to fixed income balancing innovation, diversification and risk control to help preserve and grow your investments.
ExploreGlobally diversified private markets exposure across private equity, private debt, real estate and infrastructure, with structured liquidity for accredited investors.
ExploreUncorrelated absolute returns through a global multi-strategy approach, providing meaningful diversification beyond traditional asset classes.
ExploreA thoughtful approach to fixed income, balancing innovation, diversification and risk control to help preserve and grow your investments.
Captures multiple sources of value added beyond traditional market tilts while preserving portfolio quality and liquidity.
Combines local market expertise with fixed income scale and strong infrastructure to deliver superior opportunity set and execution.
Applies a disciplined risk framework and flexible toolkit to deliver well-defined exposures with strong governance.
TCC Universe+ Fixed Income
A core plus Canadian fixed income strategy combining benchmark exposure with value-added strategies across rates, credit and excess return-generating opportunities. ESG risk management is integrated into the investment process.
TCC Active+ LT Fixed Income
A long-duration core plus Canadian fixed income strategy combining benchmark exposure with value-added strategies across rates, credit and excess return-generating opportunities. ESG risk management is integrated into the investment process.
Enhanced Fixed Income
Combines TCC's core plus fixed income expertise with global multi-strategy capabilities to enhance diversification, risk-adjusted returns and portfolio resilience.
* As of December 31, 2025.
Designed to deliver the return potential of private markets while maintaining accessibility with a structured liquidity process.
Provides globally diversified exposure across private equity, private debt, real estate, infrastructure and co-investments.
Access to opportunities used by large institutional investors with economies of scale.
Ongoing private markets access with structural flexibility and long-term continuity.
TCC Private Markets Fund
A globally diversified portfolio designed as a core allocation for private markets investments, offering broad exposure across real estate, private equity, private debt and infrastructure.
Available for Accredited Investors through iCapital's TCC Private Markets Access Trust Fund. See iCapital's Offering Memorandum for details.
* As of September 30, 2025.
Seeks diversified sources of return through a mix of internal and external strategies, with a global approach that broadens opportunities and helps manage risk.
Blends top-down insights with a diversified set of strategies to generate consistent, uncorrelated returns across market environments.
Combines on-the-ground expertise with scale and robust infrastructure to unlock differentiated opportunities and execution advantages.
Combines institutional-grade governance with a precise risk framework, enabling agile decision-making.
TCC Multi-Strategy Fund
A global multi-strategy market-neutral approach designed to deliver attractive risk-adjusted absolute returns with low correlation to traditional markets, generating consistent performance across diverse market environments.
* As of December 31, 2025.
Contact our team for more information on our investment solutions.
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