Gain key insights into today’s market from some of Mackenzie Investments’ most prominent thought leaders. Explore our robust collection of market commentaries, interviews and more.
Latest Market Commentaries
All Eyes on the Dots: What to Expect from the Fed
Mackenzie Chief Economist Todd Mattina analyzes the key factors in play ahead of the U.S. central bank’s last interest rate announcement in 2016.
The ECB’s bond-buying extension
On December 8, Todd Mattina, Chief Economist and Strategist on the Mackenzie Asset Allocation Team, appeared on BNN to discuss the European Central Bank’s (ECB) decision to extend its bond-buying program to December 2017 and cut monthly bond purchases.
Italians Vote ‘No’: Implications for Italy, the Euro Area and Global Markets
Mackenzie Chief Economist Todd Mattina analyzes issues and implications of the results of Italy’s constitutional referendum.
Sound & Fury: U.S. Election Analysis
Our coverage of the U.S. election continues with comments by portfolio managers from Putnam Investments.
Yves Choueifaty, Founder and CIO of TOBAM, explains his unique strategy for passive investing.
Outlook for the Fed
Todd Mattina, Chief Economist and Strategist on the Mackenzie Asset Allocation Team, appeared on Bloomberg TV Canada to discuss what could be expected from the Fed in coming months given its downgraded long-term economic outlook.
The UK heads for the Brexit
Matt Moody, Portfolio Manager of the Mackenzie Ivy European Class, explains why discipline can help investors deal with the increased volatility caused by Brexit.
Alain Bergeron, Lead of the Mackenzie Asset Allocation Team, appeared on Bloomberg TV to discuss how to incorporate currencies into your portfolio.
Investment Challenges in a Low Rate Environment
Todd Mattina, Chief Economist and Strategist on the Mackenzie Asset Allocation Team, appeared on Bloomberg TV to discuss opportunities in stretched bond and equity markets.