Asset Class Global Balanced

Why invest in this fund?

  • Seeks to provide long-term capital appreciation by investing mainly in a select group of high-quality businesses, utilizing a core plus approach to fixed income selection
  • Suitable as a long-term global equity holding with lower-volatility characteristics; downside protection strategies in volatile markets is the hallmark of the Fund’s investment approach
  • Core plus fixed income encompasses all fixed income products including both securitized and non-securitized loans including floating rate loans and high yield debt

NOTE: Mackenzie Segregated Funds and Guaranteed Investment Funds are no longer available to new investors. Existing policyholders are able to make additional investments in their contracts and exchanges between available funds is also permitted.

Core plus fixed income encompasses all fixed income products including both securitized and non-securitized loans including floating rate loans and high yield debt

Key Facts

Asset Class

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Portfolio Managers

Matt Moody, MBA, CFA

Senior Vice President, Portfolio Manager, Head of Team

Investment experience since 1999

Mackenzie Ivy Team

Hussein Sunderji, MBA, CFA

Vice President, Portfolio Manager

Investment experience since 2007

Mackenzie Ivy Team

Jason Miller, MBA, CFA

Vice President, Portfolio Manager

Investment experience since 2008

Mackenzie Ivy Team

Adam Gofton, CFA

Vice President, Portfolio Manager

Investment experience since 2007

Mackenzie Ivy Team

Konstantin Boehmer, MBA

SVP, Head of Fixed Income, Portfolio Manager

Investment experience since 2003

Mackenzie Fixed Income Team

Nelson Arruda, MFin., MSc., CFA

Senior Vice President, Portfolio Manager, Head of Team

Investment experience since 2010

Mackenzie Multi-Asset Strategies Team

Commentary

Advisor Feature Page - Mackenzie Ivy Global Balanced Fund

Performance

End value as of

Peer Benchmark End Value as of

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Calendar Year Returns % in CAD

As of

Fund performance is not available for funds with a history of less than one calendar year (January 1-December 31).

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Portfolio

Major holdings represent 0.00% of the fund as of

Major Holdings

Allocations

Codes & Fees

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Historical Data

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Periodic Distributions