Asset Class Global Fixed Income

Mackenzie Global Credit Opportunities Fund

Why invest in this fund?

  • Designed for investors looking for a globally diversified high income solution to complement their fixed income portfolio allocation
  • Employs an opportunistic strategy with the flexibility to move across sectors, credit qualities and geographies to seek the best relative value and potentially benefit in a variety of market environments
  • Ability to invest in a variety of global fixed income securities including investment grade and non-investment grade government bonds, corporate bonds, loans and preferred shares which offer the potential for higher yields and enhanced portfolio diversification
  • Actively managed currency exposure

Key Facts

Portfolio Managers

Steve Locke, MBA

Senior Vice President, Portfolio Manager, Head of Team

Mackenzie Fixed Income Team

Investment experience since 1995

Dan Cooper, CFA

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

Investment experience since 2003

Konstantin Boehmer, MBA

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

Investment experience since 2003

Movin Mokbel, MBA

Vice President, Portfolio Manager

Mackenzie Fixed Income Team

Investment experience since 2000

Commentary

Q1 Commentary – Mackenzie Fixed Income Team

Read Mackenzie Fixed Income Team’s latest commentary to learn about their analysis of key market risks and opportunities.

May 17, 2019

Performance

Portfolio

Codes & Fees

Historical Data

Resources

Fund Materials

Regulatory Documents