MER as of March 31, 2019 ^
Mackenzie Fund Name sort by Mackenzie Fund Name Series sort by Series Prefix sort by Prefix Front End CAD sort by Front End CAD Back End CAD sort by Back End CAD Low Load 2 CAD sort by Low Load 2 CAD Low Load 3 CAD sort by Low Load 3 CAD Mgmt Fee % sort by Mgmt Fee % MER % sort by MER %
T8 MFC 2663 3588 7093 4045 2.00% 2.52%
A MFC 5279 5280 5281 1.60% 2.09%
F MFC 5283 0.55% 0.84%
T5 MFC 5700 5701 5702 1.60% 2.04%
T8 MFC 5296 5297 5298 1.60% 2.06%
A MFC 5968 2.25% 2.80%
F MFC 5969 1.15% 1.44%
A MFC 5976 2.25% 2.80%
F MFC 5977 1.15% 1.44%
A MFC 1044 1194 7089 2201 2.00% 2.55%
F MFC 1354 0.80% 1.10%
A MFC 653 643 7030 3199 2.00% 2.48%
F MFC 092 0.80% 1.10%
A MFC 1017 1167 7061 2164 2.00% 2.54%
F MFC 1327 0.80% 1.08%
T8 MFC 2624 3562 7063 4019 2.00% 2.49%
A MFC 296 286 7009 3181 2.00% 2.48%
F MFC 076 0.80% 1.09%
A MFC 2715 3626 7132 4091 1.85% 2.32%
B MFC 2327 ** 3338 ** 3339 ** 1.85% 2.31%
F MFC 2310 0.70% 0.97%
T5 MFC 2309 3327 7133 3328 1.85% 2.33%
T8 MFC 5760 5761 7298 5762 1.85% 2.30%
A MFC 5256 5257 7278 5258 1.85% 2.37%
F MFC 5260 0.70% 0.95%
T5 MFC 5273 5274 7279 5275 1.85% 2.37%
T8 MFC 5276 5277 7280 5278 1.85% 2.21%
A MFC 4710 7227 4711 1.55% 1.96%
F MFC 4713 0.65% 0.90%
SC MFC 4716 1.25% 1.61%
T5 MFC 4718 ** 7228 ** 4719 ** 1.55% 1.93%
A MFC 4804 7242 4805 1.45% 1.84%
F MFC 4807 0.50% 0.79%
SC MFC 4810 1.15% 1.53%
T5 MFC 4812 ** 7243 ** 4813 ** 1.45% 1.88%
A MFC 2989 3691 7190 4208 1.85% 2.55%
F MFC 2991 0.80% 1.27%
A MFC 5461 5462 5463 1.50% 2.01%
F MFC 5465 0.45% 0.79%
T5 MFC 5478 5479 5480 1.50% 2.05%
T8 MFC 5736 5737 5738 1.50% 2.03%
A MFC 292 282 7006 3164 2.00% 2.46%
F MFC 029 0.75% 1.06%
A MFC 5033 5034 5035 1.50% 2.02%
F MFC 5037 0.45% 0.75%
T5 MFC 5041 5042 5043 1.50% 2.08%
T8 MFC 5739 5740 5741 1.50% 2.03%
A MFC 5092 5093 5094 1.55% 2.06%
F MFC 5096 0.50% 0.84%
T5 MFC 5101 5102 5103 1.55% 2.06%

Commissions, trailing commissions, management fees, brokerage fees and expenses may be associated with investment funds. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and does not take into account sales, redemption, distribution, or optional charges or income taxes payable by any security holder that would have reduced returns. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

For changes in the business, operations or affairs of an investment fund, and reorganization or acquisition of assets in an investment fund during the most recent 10 years that could have materially affected the performance of the investment fund, please refer to the "Major Changes During the Last 10 Years” section in the most recent Annual Information Form.

Mutual Fund US Dollar Settlement Option details.

Index performance does not include the impact of fees, commissions, and expenses that would be payable by investors in the investment products that seek to track an index.

The rate of return is used only to illustrate the effects of the compound growth rate and is not intended to reflect future values of the investment fund or asset allocation service or returns on investment in the investment fund or from the use of the asset allocation service.

**Closed to new investments
^ The MER date is for mutual funds only. The segregated fund date is 31-Dec-2018