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 5742 5743 5744 1.55% 2.05%
A MFC 5068 5069 5070 1.55% 2.08%
F MFC 5072 0.50% 0.85%
T5 MFC 5077 5078 5079 1.55% 2.09%
T8 MFC 5745 5746 5747 1.55% 2.04%
A MFC 5056 5057 5058 1.55% 2.02%
F MFC 5060 0.50% 0.81%
T5 MFC 5065 5066 5067 1.55% 2.09%
T8 MFC 5748 5749 5750 1.55% 2.04%
A MFC 5080 5081 5082 1.55% 2.02%
F MFC 5084 0.50% 0.77%
T5 MFC 5089 5090 5091 1.55% 2.05%
T8 MFC 5751 5752 5753 1.55% 2.03%
A MFC 5044 5045 5046 1.50% 2.00%
F MFC 5048 0.45% 0.78%
T5 MFC 5053 5054 5055 1.50% 2.06%
T8 MFC 5754 5755 5756 1.50% 2.03%
A MFC 291 281 7038 3324 1.50% 1.90%
F MFC 057 0.65% 0.90%
T8 MFC 5757 5758 7297 5759 1.50% 1.93%
A MFC 4721 7229 4722 1.25% 1.70%
F MFC 4724 0.40% 0.75%
SC MFC 4727 1.05% 1.41%
T5 MFC 4729 ** 7230 ** 4730 ** 1.25% 1.80%
A MFC 5163 5164 7263 5165 1.75% 2.25%
F MFC 5167 0.70% 1.00%
T5 MFC 5171 5172 7264 5173 1.75% 2.27%
T8 MFC 5174 5175 7265 5176 1.75% 2.15%
A MFC 082 612 7021 3160 1.75% 2.17%
F MFC 078 0.70% 0.96%
T5 MFC 2442 3448 7022 3449 1.75% 2.18%
T8 MFC 1228 1470 7023 2168 1.75% 2.18%
A MFC 083 613 7024 3159 2.00% 2.46%
F MFC 075 0.75% 1.03%
T5 MFC 2443 3450 7025 3451 2.00% 2.48%
T8 MFC 2404 3411 7026 3414 2.00% 2.52%
Core A MGW 1002 1045 1067 2.00% 3.07%
Int A MGW 2002 2045 2067 2.00% 3.40%
Enh A MGW 468 628 2.00% 2.84%
Reg A MGW 771 871 2.00% 2.84%
A MFC 1565 1808 7107 2165 2.00% 2.58%
F MFC 1900 0.80% 1.16%
T5 MFC 2626 3563 7109 4020 2.00% 2.59%
T8 MFC 2627 3564 7110 4021 2.00% 2.61%
A MFC 1025 ** 1175 ** 7074 ** 2166 ** 2.00% 2.53%
F MFC 1335 ** 0.80% 1.08%
T5 MFC 2632 ** 3567 ** 7076 ** 4024 ** 2.00% 2.49%
T8 MFC 2633 ** 3568 ** 7077 ** 4025 ** 2.00% 2.49%
A MFC 2484 3484 7149 3485 2.00% 2.52%
F MFC 2485 0.80% 1.08%

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