Mackenzie Canadian Money Market Fund
Why invest in this fund?
- Seeks to provide a steady flow of income by investing in short-term, quality government and corporate debt instruments which are consistent with safety of capital
- Maturity of the securities will not exceed one year
- Weighted average term to maturity of the fund's assets will not exceed 90 days
- Intends to maintain a portfolio with a high credit quality
Key Facts
Portfolio Managers

Steve Locke, MBA, CFA
SVP, CIO of Fixed Income and Multi-Asset Strategies, Co-Lead of Fixed Income Team
Mackenzie Fixed Income TeamInvestment experience since 1994

Felix Wong, MBA, CFA
VP, Portfolio Manager
Mackenzie Fixed Income TeamInvestment experience since 1988
Performance
Portfolio
Sustainability Characteristics
Codes & Fees
Historical Data
Resources
Fund Materials
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Investor Brochure: Fixed Income Strategies pdf 775KB
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Investor Brochure: Fixed Income Capabilities pdf 1189KB
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Fund Profile - Mackenzie Canadian Money Market Fund Series F pdf 497KB
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Fund Profile - Mackenzie Canadian Money Market Fund Series SC pdf 498KB
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Fund Profile - Mackenzie Canadian Money Market Fund pdf 497KB
Regulatory Documents
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- Fund Facts
- Prospectus & Annual Information Form
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Financial Statements – Annual – Mackenzie Canadian Money Market Fund pdf 469KB
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MRFP – Annual – Mackenzie Canadian Money Market Fund pdf 1203KB
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Quarterly Portfolio Disclosure – 1st Quarter – Mackenzie Canadian Money Market Fund pdf 79KB
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MRFP – Semi-annual – Mackenzie Canadian Money Market Fund pdf 1457KB
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Financial Statements – Semi-annual – Mackenzie Canadian Money Market Fund pdf 245KB
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Quarterly Portfolio Disclosure – 3rd Quarter – Mackenzie Canadian Money Market Fund pdf 68KB