The Mackenzie Fixed Income Team combines a collaborative approach to idea generation, backed by deep analysis, to create differentiated solutions that reflect our commitment to ESG integration and sustainable investment outcomes.
The team adopts a flexible mindset with the objective of steering strategies toward better yields and capital returns while avoiding potential risks. With decades of experience, our team analyzes global fixed income securities, rates, currencies and credit quality. They employ a collaborative approach to share and debate ideas, applying their best insights across all strategies. Their comprehensive range brings innovative solutions to meet the varying needs of fixed income investors. Their credit and sovereign analysis includes proprietary ESG evaluation to ensure securities meet our quality standards.
The Mackenzie Fixed Income Team manages a diverse array of strategies across global markets and various segments of the fixed income landscape.
The Mackenzie Fixed Income Team, led by Konstantin Boehmer, combines a collaborative approach to idea generation backed by deep analysis and research. The team's approach to investment management relies on experienced knowledge and innovative approaches that seek to deliver value and manage risk.
For decades, investors seeking to expand the influence of their capital beyond the generation of financial returns to enable non-financial impact, have been challenged by the perception of a zero-sum game: having to choose between doing well financially or doing good for society and the planet.
The sustainable debt market is evolving rapidly, creating significant opportunities for investors, through a variety of sustainable debt options.
The Mackenzie Fixed Income Team integrates environmental, social and governance (ESG) factors into the investment analysis process for all of its strategies. This empowers the team to seek strong risk-adjusted returns for clients while supporting local and global communities.