COVID-19 Update:
Calming perspectives in uncertain markets

Market Volatility Conference Call Series

As market volatility continues, your clients will be looking to you for answers, reassurance, and guidance. We’re in this together and want to support you in this continually changing environment. Listen in as our experts share their diverse thoughts and perspectives, and answer your questions. The calls will last a maximum of one hour.

Past Events

Economic updates and perspectives on oil, gas, and resources

June 2, 2020: 4pm ET
 

Todd Mattina

Senior Vice President, Chief Economist, Team Co-Lead

Mackenzie Multi-Asset Strategies Team

 

Benoit Gervais

Senior Vice President, Portfolio Manager, Head of Mackenzie Resource Team

 

Onno Rutten

Vice President, Mackenzie Resource Team

 

Read summary >

 

Economic updates and perspectives on high yield bonds and ETFs

May 26, 2020: 4pm ET

 

Todd Mattina

Senior Vice President, Chief Economist, Team Co-Lead

Mackenzie Multi-Asset Strategies Team

 

Dan Cooper

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

 

 Read Summary >

Economic updates and trading in this environment

May 20, 2020: 4pm ET

 

Dustin Reid

Vice President, Investment Management, Chief Fixed Income Strategist

Mackenzie Fixed Income Team

 

Carrie Freeborough

Senior Vice President, Head Trader

 

Read Summary >

Economic updates and perspectives on gold

May 12, 2020: 4pm ET

 

Paul Taylor

Vice President, Portfolio Manager

Mackenzie Multi-Asset Strategies Team

 

Benoit Gervais

Senior Vice President, Portfolio Manager, Head of Mackenzie Resource Team

 

Onno Rutten

Vice President

Mackenzie Resource Team

 

Read Summary >

Economic updates and Global Market perspectives

May 5, 2020: 4pm ET

Paul Taylor

Vice President, Portfolio Manager

Mackenzie Multi-Asset Strategies Team

 

Paul Musson

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Ivy Team

 

Ready summary >

Economic updates and Global Fixed Income Market perspectives

April 28, 2020: 4pm ET

Dustin Reid

Vice President, Investment Management, Chief Fixed Income Strategist

Mackenzie Fixed Income Team

 

Steve Locke

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Fixed Income Team

 

Read Summary >

Economic updates and Alternative Asset Class & Income perspectives

April 21, 2020: 4pm ET

Todd Mattina

Senior Vice President, Chief Economist

Team Co-Lead, Mackenzie Multi-Asset Strategies Team

 

Matthew Cardillo

Vice President, Portfolio Manager

Mackenzie Systematic Strategies Team

 

Read Summary >

Economic updates and Income perspectives

April 14, 2020: 4pm ET

Paul Taylor

Vice President, Portfolio Manager

Mackenzie Multi-Asset Strategies Team

 

Allan Seychuk

Vice President, Senior Investment Director

Multi-Asset Strategies Team

 

Read Summary >

Economic updates and Canadian & Global Market perspectives

April 8, 2020: 4pm ET

Dustin Reid

Vice President, Investment Management, Chief Fixed Income Strategist

Mackenzie Fixed Income Team

 

David Arpin

Senior Vice President, Portfolio Manager, Team Co-Lead

Mackenzie Bluewater Team

 

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Economic updates and Loan Market perspectives

March 31, 2020: 4pm ET

Todd Mattina,

Senior Vice President, Chief Economist, Team Co-Lead

Mackenzie Multi-Asset Strategies Team

 

Movin Mokbel,

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

 

Read Summary > 

Economic updates and US Equity Market perspectives

March 24, 2020: 4pm ET

Paul Taylor,  MBA, CFA

Vice President, Portfolio Manager

Mackenzie Multi-Asset Strategies Team

 

Phil Taller,  MBA, CFA

Senior Vice President, Portfolio Manager

Mackenzie Growth Team

 

Read Summary > 

Economic updates and Global Market perspectives

March 17, 2020: 4pm ET

Todd Mattina,  MBA, CFA

Senior Vice President, Cheif Economist, Team Co-Lead

Mackenzie Multi-Asset Strategies Team

 

Darren Mckiernan, MBA, CFA

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Global Equity & Income Team

 

Read Summary >

 

Oil, coronavirus, rates, and the debt markets

March 10, 2020: 4pm ET

Steve Locke,  MBA, CFA

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Fixed Income Team

 

Benoit Gervais,  MBA, CFA

Senior Vice President, Portfolio Manager

Mackenzie Resource Team

 

Read Summary >

Coronavirus impact on markets

March 3, 2020: 4pm ET

Paul Taylor,

Vice President, Portfolio Manager,

Mackenzie Multi-Asset Strategies Team

 

Read Summary >

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.
The content of this commentary (including facts, views, opinions, recommendations, descriptions of or references to, products or securities) is not to be used or construed as investment advice, as an offer to sell or the solicitation of an offer to buy, or an endorsement, recommendation or sponsorship of any entity or security cited. Although we endeavour to ensure its accuracy and completeness, we assume no responsibility for any reliance upon it.
This document includes forward-looking information that is based on forecasts of future events as dated above. Mackenzie Financial Corporation will not necessarily update the information to reflect changes after that date. Forward-looking statements are not guarantees of future performance and risks and uncertainties often cause actual results to differ materially from forward-looking information or expectations. Some of these risks are changes to or volatility in the economy, politics, securities markets, interest rates, currency exchange rates, business competition, capital markets, technology, laws, or when catastrophic events occur. Do not place undue reliance on forward-looking information. In addition, any statement about companies is not an endorsement or recommendation to buy or sell any security.