Asset Class Global Fixed Income

Why invest in this fund?

  • Aims to generate income in U.S. dollars through a high-quality portfolio with a minimum average credit quality of A- (10% limit on High Yield) and an emphasis on capital preservation
  • In today’s complex bond market, the Fund’s experienced manager will actively manage duration between 0 and 1.5 years, limiting market risk through modern portfolio strategies, pursuing capital preservation and maintaining liquidity
  • Primarily exposed to U.S. dollars, whether through U.S. securities or currency management. Also, purchases, redemptions, income distributions and performance reporting in U.S. dollars

Series SC – For fixed income funds, this series is the front-end load purchase option, equivalent to series A.

Key Facts

Asset Class

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Portfolio Managers

Konstantin Boehmer, MBA

SVP, Head of Fixed Income, Portfolio Manager

Investment experience since 2003

Mackenzie Fixed Income Team

Felix Wong, MBA, CFA

VP, Portfolio Manager

Investment experience since 1988

Mackenzie Fixed Income Team

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

More Advisor Information
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Series SC – For fixed income funds, this series is the front-end load purchase option, equivalent to series A.

Historical Data

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Periodic Distributions