Mackenzie Ivy European Fund
Why invest in this fund?
- Pursues long-term capital growth by investing in a select group of high-quality, European companies – including those with significant international operations
- Suitable as a long-term European equity holding with lower-volatility characteristics – downside protection in volatile markets is the hallmark of the Fund’s investment approach
- Truly differentiated European equity offering with low correlation to broad equity markets
Key Facts
Portfolio Managers

Matt Moody, MBA, CFA
Senior Vice President, Portfolio Manager, Head of Team
Mackenzie Ivy TeamInvestment experience since 1999

Paul Musson, CFA
Senior Vice President, Portfolio Manager
Mackenzie Ivy TeamInvestment experience since 1992

Performance
Portfolio
Sustainability Characteristics
Codes & Fees
Historical Data
Resources
Fund Materials
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Mackenzie Ivy Funds - Quarterly Report - Q4 2022 pdf 1960KB
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Fund Profile - Mackenzie Ivy European Fund pdf 505KB
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Fund Profile - Mackenzie Ivy European Fund Series PW pdf 505KB
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Fund Profile - Mackenzie Ivy European Fund Series F pdf 506KB
Regulatory Documents
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- Fund Facts
- Prospectus & Annual Information Form
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Financial Statements – Annual – Mackenzie Ivy European Fund pdf 493KB
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MRFP – Annual – Mackenzie Ivy European Fund pdf 1082KB
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Quarterly Portfolio Disclosure - 1st Quarter - Mackenzie Ivy European Fund pdf 79KB
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Financial Statements – Interim – Mackenzie Ivy European Fund pdf 491KB
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MRFP – Interim – Mackenzie Ivy European Fund pdf 1152KB
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Quarterly Portfolio Disclosure - 3rd Quarter – Mackenzie Ivy European Fund pdf 79KB