Asset Class High Yield Fixed Income

Why invest in this fund?

  • Invests primarily in non-investment-grade corporate debt which offers higher yields and less interest rate sensitivity than investment-grade bonds
  • High yield corporate bonds have historically provided similar returns to equities with less than half the risk
  • Fundamental analysis is employed to obtain a yield advantage while trying to limit the fund’s exposure to undue risk
  • Maintains a minimum average credit rating of BB-

Key Facts

Asset Class

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Portfolio Managers

Konstantin Boehmer, MBA

SVP, Head of Fixed Income, Portfolio Manager

Investment experience since 2003

Mackenzie Fixed Income Team

Dan Cooper, CFA

SVP, Head of Credit, Portfolio Manager

Investment experience since 1997

Mackenzie Fixed Income Team

Ken Yip, MBA

VP, Portfolio Manager

Investment experience since 2005

Mackenzie Fixed Income Team

Performance

End value as of

Peer Benchmark End Value as of

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Calendar Year Returns % in CAD

As of

Fund performance is not available for funds with a history of less than one calendar year (January 1-December 31).

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Portfolio

Major holdings represent 0.00% of the fund as of

Major Holdings

Allocations

Codes and Fees

More Advisor Information
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Historical Data

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Periodic Distributions