Asset Class Canadian Equity

Mackenzie High Diversification Canadian Equity Class

Why invest in this fund?

  • Seeks to increase diversification to reduce biases and enhance risk adjusted returns.
  • Enhances diversification in a Canadian equity market that has a history of sector concentration: Financials, Energy and Materials.
  • A proven award-winning diversification methodology exclusively available through mutual funds and ETFs to all retail investors in Canada.

Key Facts

Portfolio Managers

Ayaaz Allymun

Managing Director, Deputy Head of Portfolio Management

TOBAM

Investment experience since 2001

Guillaume Toison

Managing Director, Head of Portfolio Management

TOBAM

Investment experience since 2004

Commentary

Commentary

Quarterly Commentaries

Read the latest Mackenzie Team commentaries to learn about their analysis of key market risks and opportunities. For select funds, quarterly reviews of performance and market conditions are also available.
Commentary

Monthly Commentaries

Mackenzie Investments publishes regular commentaries to help advisors make sense of the markets, review the recent performances of funds and anticipate future outlooks. Read the latest monthly commentaries for more information.

Performance

Portfolio

Codes & Fees

Historical Data

Resources

Fund Materials

Regulatory Documents