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Le Fonds vise un revenu et une certaine croissance à long terme en investissant principalement dans d’autres fonds communs de placement qui investissent dans des titres de participation et des titres à revenu fixe du Canada et de pays étrangers, ainsi que dans d’autres catégories d’actif, mais il peut aussi investir directement dans des titres. La répartition de l’actif du Fonds se situera généralement dans les fourchettes suivantes : 25 % à 45 % en titres de participation et 55 % à 75 % en titres à revenu fixe. Le Fonds est diversifié en termes d’exposition géographique, d’exposition sectorielle, de capitalisation boursière, de style de placement du gestionnaire de portefeuille, de qualité du crédit et de duration.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Nelson Arruda | Vice President | 2019 | Maintenant |
Biographie | Nelson has experience in investment research and portfolio management of multi-asset strategies. Prior to joining Mackenzie in 2017, Nelson spent seven years at the Canada Pension Plan Investment Board where he performed various roles, including head portfolio manager of the active commodities portfolio, covering energy, agriculture and metals. Nelson has Bachelor of Science and Master of Science degrees in computer science from the University of Toronto and also graduated from the Rotman School of Business with a Master of Finance. He is a CFA charterholder. | ||
Andrea Hallett | Portfolio Manager | 2008 | Maintenant |
Biographie | Andrea Hallett, Vice President, Investment Management, is a Portfolio Manager on the Mackenzie Asset Allocation Team and is co-manager for Mackenzie Investments' multi-managed funds and strategic asset allocation programs. Andrea’s career in the investment industry began in 1998. She has been with Mackenzie Investments since 2002. Prior to joining Mackenzie Investments, Andrea held several roles with increasing responsibilities within the investment department at a large Canadian mutual fund company. | ||
Todd Mattina | - | 2020 | 2023 |
Biographie | Todd supports multi-asset and currency solutions by building investment models and assessing the implications of macroeconomic conditions. After serving as Mackenzie’s Chief Strategist and Economist from 2014 to 2018, Todd joined the Investment Management Corporation of Ontario, where he served as VP, Portfolio Construction, Chief Strategist and Chief Economist. Todd currently serves as Vice-Chair of the Investment Committee and Pension Committee of Queen’s University. Todd holds a PhD in Economics from Queen’s University and an MA in Economics from the University of British Columbia. | ||
Alain Bergeron | Senior Vice President | 2013 | 2019 |
Biographie | Alain’s career in the investment industry began in 2000. He has been with Mackenzie Investments since 2013. Before joining Mackenzie Investments, Alain worked in investment management at one of Canada’s largest public pension plans for over 10 years, where he advanced to the role of Vice President and Head of Global Tactical Asset Allocation. He has also been an institutional trader at a major Canadian bank. Alain holds a BBA (Finance and Quantitative Methods) and an MSc (Financial Engineering). He is a CFA charterholder and holds the CMT designation. | ||
Siyan Tan | Portfolio Manager | 2015 | 2016 |
Karen A. McRae | Senior VP | 2008 | 2013 |
Biographie | Karen McRae, Senior Vice President, Investment Management, is on the Mackenzie Asset Allocation Team. Karen has formal responsibility for portfolio risk oversight and asset allocation decisions for Mackenzie Investments' multi-managed funds and strategic asset allocation programs. Karen has investment experience since 1988; Mackenzie Investments experience since 2002. |
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