The UK heads for the Brexit | Mackenzie Investments

The UK heads for the Brexit

The UK’s Brexit vote has sparked more uncertainty and volatility for investors. Mackenzie’s investment experts are following this unfolding story with analysis of how the UK’s decision to leave the European Union might affect our investment strategies and products. The content below gives you Mackenzie’s insights about the Brexit decision.

Surviving volatility the Ivy Way: Brexit and beyond

Matt Moody of the Mackenzie Ivy Team says discipline can help investors find success amid rising volatility caused by Brexit.

July 19, 2016

The risk of Brexit overreaction

James Morton of the Mackenzie Cundill Team says the initial reaction to Brexit overlooks some potentially positive scenarios.

July 7, 2016

Manage risk cautiously post Brexit

Portfolio Managers Donie O’Brien and Anthony MacGuinness, Mackenzie Global Low Volatility Fund provide a perspective from Europe.

July 7, 2016

Stay Focused after Brexit

Portfolio Managers Ashley Misquitta and Phil Taller of the Mackenzie Growth Team explain how to add value amid a market shock like Brexit.

June 27, 2016

Time for discipline after the Brexit vote

Mackenzie All Cap Value Team is applying its longstanding value discipline to potential opportunities in the aftermath of the Brexit vote.

June 28, 2016

Do you have insurance?

Portfolio Managers Benoit Gervais and Onno Rutten, Mackenzie Resource Team, make a case for gold as portfolio “insurance” against Brexit risks.

June 28, 2016

The Brexit Headwind

Dina DeGeer, Portfolio Manager and Team Lead of the Mackenzie Canadian Growth Team, focuses on two separate impacts from the Brexit vote.

June 28, 2016

Ivy looks for opportunities after Brexit vote

Paul Musson, Portfolio Manager and Team Lead, Mackenzie Ivy Team, is monitoring quality businesses for attractive entry points in the wake of Brexit.

June 28, 2016

Relatively calm North American Credit Markets after Brexit

Steve Locke, Portfolio Manager and Team Lead of the Mackenzie Fixed Income Team, says credit markets held steady on the day after Brexit.

June 27, 2016

Leveraging Brexit volatility to enhance a portfolio

Darren McKiernan, Team Lead, Mackenzie Global Equity & Income Team, is refining valuations during the Brexit volatility to be ready to act on any trigger prices.

June 27, 2016

Stay Focused after Brexit

Portfolio Managers Ashley Misquitta and Phil Taller of the Mackenzie Growth Team explain how to add value amid a market shock like Brexit.

June 27, 2016

Brexit Provides Value Investors with Opportunities

Portfolio Managers Jonathan Norwood and Richard Wong of the Mackenzie Cundill Team analyze Brexit from a value investor’s perspective.

June 27, 2016

The UK Takes the Plunge

Chief Investment Officer Tony Elavia and Chief Economist Todd Mattina examine the fallout of the Brexit vote for economies, markets and investors.

June 24, 2016

Brexit: What Investors Need to Know

In advance of the UK’s EU referendum, Mackenzie Chief Economist Todd Mattina set out the economic and investment issues at stake for investors and markets.

June 17, 2016