Change is everywhere. Now more than ever, you need the latest thinking from Mackenzie Investments’ experts.October 3, 2022
William Aldridge, SVP, Portfolio Manager and Co-Lead of the Mackenzie North American Equities Team, discusses his current view on investing in Canada.
Canadian investors have increasingly sought portfolio diversification by seeking growth outside of Canada. But as markets shift to value bias, Canadian equities may stand to benefit.
Decades-high inflation has led to a global economic recalibration, Mackenzie CIOs examine the risks and opportunities this presents.
Lesley Marks, Chief Investment Officer for Equities at Mackenzie, explains why Canada may be one of the few safe havens for investors as rising interest rates threaten to weaken global equity markets, and Europe faces continued challenges due to the war in Ukraine.
In this Partner Report, we examine how the rising interest rate environment calls for a shift in portfolio construction. The growth bias that worked before the pandemic may be giving way to dividend investing.
Darren McKiernan, SVP, Portfolio Manager and Head of the Mackenzie Global Equity and Income Team, discusses his current view of the tech sector.
Bonds are the key to a sustainable future
Konstantin Boehmer, SVP, Portfolio Manager, and Co-Lead of the Mackenzie Fixed Income Team discusses sustainable debt.