Codes & Fees – Mackenzie US Growth Class Series PWX | Mackenzie Investments

Mackenzie US Growth Class Series PWX

Asset Class: US Equity
MER as of September 30, 2018
Series Current sort (ascending) Prefix sort by Prefix Front End CAD sort by Front End CAD Back End CAD sort by Back End CAD Low Load 2 CAD sort by Low Load 2 CAD Low Load 3 CAD sort by Low Load 3 CAD Front End USD sort by Front End USD Back End USD sort by Back End USD Low Load 2 USD sort by Low Load 2 USD Low Load 3 USD sort by Low Load 3 USD Mgmt Fee % sort by Mgmt Fee % MER % sort by MER % Fixed Rate Distribution sort by MER %
A MFC 1019 1169 7064 2190 2314 ** 3329 ** 7065 ** 4282 ** 2.00% 2.52%
D MFC 4631 4691 ** 1.25% 1.61%
F MFC 1329 4388 ** 0.80% 1.10%
F8 # MFC 5587 0.80% 1.07% 8.00%
FB MFC 4903 5612 ** 1.00% 1.44%
FB5 # MFC 5590 1.00% 1.45% 5.00%
G MFC 3337 1.50% 1.90%
I MFC 1219 1.35% 1.78%
J MFC 5609 ** 1.75% 2.27%
O MFC 3017
PW MFC 6162 6759 ** 1.80% 2.18%
PWFB MFC 6921 5611 ** 0.80% 1.08%
PWFB5 # MFC 5589 0.80% 1.08% 5.00%
PWT8 # MFC 6761 1.80% 2.18% 8.00%
PWX MFC 6088 5610 **
PWX8 # MFC 5588 8.00%
T8 # MFC 2670 3592 7066 4049 2.00% 2.55% 8.00%
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Other US Equity Funds

Portfolio Managers

David Arpin, MA, CFA

Senior Vice President, Portfolio Manager

Mackenzie Bluewater Team

Investment experience since 1995

Dina DeGeer, MBA, CFA

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Bluewater Team

Investment experience since 1985

Shah Khan, MBA, CFA

Vice President, Portfolio Manager

Mackenzie Bluewater Team

Investment experience since 2010

Hui Wang, MBA, CFA, CAIA

Associate Portfolio Manager

Mackenzie Bluewater Team

Investment experience since 2010

#This series pays a monthly annual fixed rate distribution.
**Closed to new investments

Note: USD option is capped to new purchases.

On November 10, 2006, the Fund acquired the assets of another Mackenzie-sponsored fund in a merger that was considered a material change for the Fund. Therefore, the Fund’s performance is provided from the date of the merger rather than its inception, as required under applicable securities laws.

On July 26, 2013, the Fund (all series) changed its mandate from investing mainly in equity securities of North American companies to investing primarily in equity securities of U.S. companies. The past performance before this date was achieved under the previous objectives.

The Series G versions of this fund are closed to new investments.

On July 26, 2013, the Fund changed its mandate to a US growth fund. The past performance before this date was achieved under the previous objectives.

Effective June 1, 2018, the management fee and/or administration fee of series F, PW, PWB, PWT, PWFB, and PWX of the fund was reduced. The new fees will not be fully reflected in the current MER until the semi-annual MER for the period ended September 30, 2019.

Commissions, trailing commissions, management fees, brokerage fees and expenses may be associated with investment funds. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and does not take into account sales, redemption, distribution, or optional charges or income taxes payable by any security holder that would have reduced returns. Investment funds are not guaranteed, their values change frequently and past performance may not be repeated.

For changes in the business, operations or affairs of an investment fund, and reorganization or acquisition of assets in an investment fund during the most recent 10 years that could have materially affected the performance of the investment fund, please refer to the "Major Changes During the Last 10 Years” section in the most recent Annual Information Form.

Mutual Fund US Dollar Settlement Option details.

Index performance does not include the impact of fees, commissions, and expenses that would be payable by investors in the investment products that seek to track an index.

The rate of return is used only to illustrate the effects of the compound growth rate and is not intended to reflect future values of the investment fund or asset allocation service or returns on investment in the investment fund or from the use of the asset allocation service.

* The S&P 500 Index is a market capitalization weighted index of 500 widely held securities, designed to measure broad U.S. equity performance.