Mackenzie Global Macro Fund

A global macro strategy that offers built-in diversification and reduced volatility

Take advantage of different market conditions

With a focus on seeking to achieve absolute return, this strategy can offer your portfolio built-in diversification and reduced volatility.

Why you should consider a global macro strategy

Global macro can be a highly flexible investment strategy aimed at helping investors navigate volatile markets.

Asset Class Alternative Strategies

Why invest in this fund?

  • Focused on Absolute Return - Aims for an annualized absolute target return of 5% - 9% above cash and an annualized expected volatility of 7% - 11% over a 5-year rolling period. 
  • Increased Portfolio Diversification - Long & short positions across a variety of global assets can potentially reduce a traditional portfolio’s reliance on narrow source of returns from stocks and/or bonds.
  • Breadth of Strategy - Utilizes relative value trading strategies based on the portfolio managers’ forecasted changes in global macro-economic variables to seek returns that can complement traditional strategies.

Key Facts

Asset Class

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Portfolio Managers

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 Global Macro Fund

Monthly Commentary - Mackenzie Global Macro 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

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Major Holdings

Allocations

Codes & Fees

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Historical Data

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Periodic Distributions