Mackenzie Maximum Diversification Canada Index Fund
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
Performance
Portfolio
Codes & Fees
Historical Data
Resources
Fund Materials
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Fund Profile - Mackenzie Maximum Diversification Canada Index Fund pdf 489KB
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Fund Profile - Mackenzie Maximum Diversification Canada Index Fund Series PW pdf 488KB
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Fund Profile - Mackenzie Maximum Diversification Canada Index Fund Series F pdf 489KB
Regulatory Documents
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- Fund Facts
- Prospectus & Annual Information Form
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MRFP – Interim – Mackenzie Maximum Diversification Canada Index Fund pdf 1080KB
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Quarterly Portfolio Disclosure - 1st Quarter - Mackenzie Maximum Diversification Canada Index Fund pdf 94KB
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Quarterly Portfolio Disclosure - 3rd Quarter – Mackenzie Maximum Diversification Canada Index Fund pdf 88KB
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Financial Statements – Interim – Mackenzie Maximum Diversification Canada Index Fund pdf 326KB
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Financial Statements – Annual – Mackenzie Maximum Diversification Canada Index Fund pdf 365KB