Mackenzie Core Plus Global Fixed Income ETF (MGB.TO)
Company overview
This actively managed fund aims to capitalize on a diverse range of fixed income opportunities. It primarily invests in debt instruments denominated in Canadian dollars or other foreign currencies, issued by corporate entities or sovereign governments. While the portfolio predominantly consists of investment-grade debt, it can allocate up to 25% of its holdings to higher-yielding, non-investment-grade obligations. The advisor employs a rigorous investment strategy, integrating macroeconomic and fundamental analysis with qualitative judgment and quantitative models, to dynamically allocate capital across diverse credit profiles, security types, industries, currencies, durations, and geographical regions. Furthermore, the management team continuously monitors foreign exchange opportunities utilizing qualitative insights and quantitative tools. Investors should note that the fund may concentrate a substantial portion of its portfolio in a single issuer, provided that entity satisfies prescribed creditworthiness requirements.
No price history available.
For informational purposes only. Kvantra provides data and quantitative analysis, not investment advice. KvantraRank is a mechanical model output. Analyst price targets and ratings are sourced from third parties and are not Kvantra recommendations. Past performance does not guarantee future results; all investments carry risk.

Mackenzie Core Plus Global Fixed Income ETF (MGB.TO)
No price history available.
This actively managed fund aims to capitalize on a diverse range of fixed income opportunities. It primarily invests in debt instruments denominated in Canadian dollars or other foreign currencies, issued by corporate entities or sovereign governments. While the portfolio predominantly consists of investment-grade debt, it can allocate up to 25% of its holdings to higher-yielding, non-investment-grade obligations. The advisor employs a rigorous investment strategy, integrating macroeconomic and fundamental analysis with qualitative judgment and quantitative models, to dynamically allocate capital across diverse credit profiles, security types, industries, currencies, durations, and geographical regions. Furthermore, the management team continuously monitors foreign exchange opportunities utilizing qualitative insights and quantitative tools. Investors should note that the fund may concentrate a substantial portion of its portfolio in a single issuer, provided that entity satisfies prescribed creditworthiness requirements.
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