Symmetry is a series of diversified and balanced portfolios, each tied to distinct risk tolerances and return needs of investors. The portfolios are managed by a team with deep pension experience, and are constantly monitored to ensure each portfolio remains true to its risk tolerance and investment objectives.
Symmetry Fixed Income Portfolio
A 100% fixed income portfolio that seeks to preserve capital, Symmetry Fixed Income Portfolio strives for more predictable results by investing in a diversifying portfolio of fixed income investments.
Symmetry Conservative Income Portfolio
Symmetry Conservative Income provides the benefits of diversification and seeks to deliver lower volatility by investing 80% in fixed income. The Portfolio also has a small weighting to equity for growth potential.
Symmetry Conservative Portfolio
Experience the benefits of diversification with potential of lower volatility. Symmetry Conservative Portfolio seeks to target a steady income stream with some potential for growth.
Symmetry Balanced Portfolio
Symmetry Balanced Portfolio aims to deliver the benefits of diversification with expected lower volatility. The Portfolio is ideal for those who are interested in a “down-the-middle” investment.
Symmetry Moderate Growth Portfolio
Leverage Mackenzie Investments’ pension expertise to pursue growth without excessive risk. Symmetry Moderate Growth Portfolio is designed to offer a broadly diversified portfolio to achieve potential long-term growth and a sizeable balance of bonds to protect capital.
Symmetry Growth Portfolio
Symmetry Growth Portfolio is a growth-focused portfolio. The Portfolio takes advantage of a broad range of global opportunities and has some allocation to bonds for capital protection.
Symmetry Equity Portfolio
The Portfolio seeks to achieve long-term growth without excessive risk. Symmetry Equity Portfolio is a growth-focused stock portfolio that takes advantage of a broad range of global opportunities.