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Power of influence: voting with your wallet

The best way to bring about positive change is sometimes to use its power to influence decision-making. Instead of excluding certain companies, investors can use their shareholder powers to evolve their practices in the areas of governance, capital structure, performance, strategy, etc.

For a real impact, the use of ESG criteria makes sense. A fair balance between performance and shareholder activism!

Fund Overview

This fund is designed for investors who …

  • Are looking for a global balanced fund that invests in companies focused on socially responsible investing to hold as part of their portfolio
  • Want a medium-term investment
  • Can handle the volatility of stock and bond markets

Investment Objectives

  • Seeks capital growth and income by investing primarily in a combination of equities and fixed-income securities of issuers located anywhere in the world.
  • Depending on economic conditions and relative valuations by the Fund’s portfolio managers, the Fund will generally invest 30% to 70% of its assets in each of equity and fixed-income securities, but may invest up to 100% of its assets in either asset class. The Fund follows an approach to investing that focuses on sustainable and responsible issuers.
Fund Facts are published once a year. READ THEM NOW
Summary

Volatility:

Low

Category: Global Balanced
Start Date: October 16, 2017
RRSP Admissibility: Yes, 100 % eligible

Benchmark: Blended Index

Assets*: $78.8 M
Number of Investments: 4

Target Asset Mix

  • Equities: 46.5%
  • Bonds: 46.9%
  • Cash & cash equivalents.: 4.2%
  • Other assets: 2.3%
  • Long bond futures: 0.1%

*Fund Facts as of September 29, 2023

Portfolio Management

Managers

The Funds’ Investment Policies are developed by the Fund Manager’s Investment Committee, which meets regularly to make any necessary changes. The Committee includes both internal and external investment experts, as well as representatives of professional association shareholders.

Main Securities as at July 31, 2023

Mackenzie Betterworld Global Equity Fund Series R 49.6%
Mackenzie Global Sustainable Bond Fund Series 49.5%
Government of Canada 0.50% 12-01-2030 0.6%
Canadian 10-Year Bond Futures 0.2%

Returns

A summary of the annual performance is available in the Fund Facts. To follow the evolution of daily returns, consult the  HISTORICAL DATA

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