AdvizorPro
Rempart Asset Management

Rempart Asset Management. CRD 154209

Rempart Asset Management logo

CRD: 154209

Rempart Asset Management

Montreal, Quebec, H3B2E
(514) 394-2776
$705.2M Total AUM
$705.2M Disc. AUM
6.0% 3Y CAGR
8 Employees
467 ADV. Clients
16 yrs Firm Age

This is a profile preview from the AdvizorPro Platform.

Request a Free Trial

Firm Details

Custodian
Fidelity/NFS · Raymond James
Clients
Retail and Institutional
Platforms
Available
Established Date
02-01-2010
Office Locations
1

Office Locations

4 Place Ville Marie Suite 515 Montreal, Quebec --

About Rempart Asset Management

Rempart Asset Management is an independent, partner-owned portfolio manager focused on steady, low-volatility outcomes using a cash-flow oriented, research-driven approach. The firm builds bespoke segregated portfolios based on each client’s policy, existing holdings, income needs, taxes, and objectives, with two senior PMs and a portfolio administrator supporting each mandate. Based in Montreal with a Toronto office; registered across Canada and with the SEC, serving clients internationally.

Team overview

-- AVG AGE
$141.0M AVG AUM / ADVISOR
$1.5M AVG AUM / CLIENT
12.1 yrs AVG TENURE
8 Employees
5 Advisory Reps
0 RIA Reps
16yrs Firm Age

Insights

Available
Available
Available
Available
Available
Available
Available
Available

Asset Classes

Available

Custodian

Available

Investment Themes

Available

Services

Available

Technology

Available

Owner & Executives

N

NATALINA CIRCELLI

DIRECTOR, Senior Portfolio Manager

CRD
#6009218
Ownership
5% but less than 10%
Available
Available
Available
D

DOUGLAS ROBERT BUCHANAN

President

CRD
--
Ownership
Less than 5%
Available
Available
Available

Showing 2 of 5 owners & executives

Unlock all

Contacts

No contact records available.

Showing 0 of 5 contacts

Unlock all

Assets Under Management

Total AUM
Discretionary
Non-Discretionary
12-07-2021
12-17-2022
12-10-2023
12-20-2024
12-10-2025
Category Assets AVG. Account size
Discretionary $705,183,288 $1,510,028
Non-Discretionary $0 --
Total $705,183,288 $1,510,028

Want deeper insight
into 45,000+ RIAs?

What you're seeing here is just the starting point.

Separately Managed Accounts

Total SMA Asset: Available

Locked Total SMA
Equity - Exchange:
Available
Corporate - Investment Grade:
Available
Cash:
Available
Asset class Assets Assets %
Equity - Exchange Available Available
Corporate - Investment Grade Available Available
Cash Available Available
Total Available Available

13F Holdings | Q2 2026

Issuer Class CUSIP Ticker % Value
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available

Continue browsing

Browse the A–Z firm directory

Start a free trial and
prospect smarter