Asset Class Global Fixed Income

Mackenzie North American Corporate Bond Fund

Why invest in this fund?

  • Invests primarily in non-investment-grade corporate debt which offers higher yields and less interest rate sensitivity than investment-grade bonds
  • High yield corporate bonds have historically provided similar returns to equities with less than half the risk
  • Fundamental analysis is employed to obtain a yield advantage while trying to limit the fund’s exposure to undue risk

Key Facts

Portfolio Managers

Steve Locke, MBA, CFA

Senior Vice President, CIO Fixed Income and Multi-Asset Strategies, Co-Lead of the Fixed Income Team

Mackenzie Fixed Income Team

Investment experience since 1995

Dan Cooper, CFA

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

Investment experience since 2003

Konstantin Boehmer, MBA

Senior Vice President, co-Lead of the Fixed Income Team & Head of Global Macro and Quantitative Analytics

Mackenzie Fixed Income Team

Investment experience since 2003

Movin Mokbel, MBA, CFA

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

Investment experience since 2000

Commentary

Performance

Portfolio

Codes & Fees

Historical Data