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Global resources

Mackenzie global resource strategies have a long-term track record in the resource sector, an investment universe with historically high alpha potential due to idiosyncratic risk, information asymmetry and a broad market cap spectrum.

Philosophy & approach

 

Mackenzie global resource strategies are managed by Benoit Gervais and Onno Rutten of the Mackenzie Resources and Energy Evolution Team. Their philosophy is anchored in science, engineering and data-driven analytics. Their fundamental understanding of ESG practices, market risk and cycles, capital intensity and sector allocation are intended to deliver superior risk-adjusted returns. The investment process integrates fundamental analysis of companies using a proprietary valuation approach that focuses on sustainable free cash flow analysis. This is complemented by a robust risk management framework using global macroeconomic indicators to help manage short-term volatility and long-term business risks.

Investment strategies




Investment team

With hands-on industry experience and advanced academic backgrounds in science and engineering, Benoit and Onno offer a unique perspective on the capital-intensive resource sector. Their market insights enable them to navigate complexity, assess long-term trends and capitalize on opportunities.

  • Benoit Gervais, MSc, CFA,

    Benoit Gervais, MSc, CFA,

    Managing Director, Portfolio Manager, Co-head of Mackenzie Resources and Energy Evolution Team
  • Onno Rutten, MSc, MBA,

    Onno Rutten, MSc, MBA,

    Vice President, Portfolio Manager

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