Mackenzie Global Dividend Enhanced Yield Fund

An enhanced dividend investing story

Video Player is loading.
Current Time 0:00
Duration 0:00
Loaded: 0%
Stream Type LIVE
Remaining Time 0:00
 
1x
    • Chapters
    • descriptions off, selected
    • captions off, selected

      Using options to enhance yield

      James Barnby, AVP, Portfolio Manager on the Mackenzie Global Equity & Income Team, explains how the fund’s active options strategy seeks to generate stable monthly income and capital appreciation.

      Understanding options: A guide to our enhanced yield strategy

      Options are powerful financial instruments that can enhance investment yield when used strategically. This guide aims to demystify options and explain how they are integrated into our investment strategies to seek strong returns.

      Asset Class Sector and Specialty

      Why invest in this fund?

      • Leverage the fundamental process of our trusted Global Equity & Income Team in owning industry leading businesses with growth potential.
      • Diversify your equity allocation with an option-writing strategy designed to provide lower volatility than broad equity markets.
      • Aims to generate stable monthly income through a combination of dividends and option premiums.

      Key Facts

      Asset Class

      View All right arrow

      Portfolio Managers

      Darren McKiernan, CFA

      Senior Vice President, Portfolio Manager, Head of Mackenzie Global Equity & Income Team

      Investment experience since 1995

      Mackenzie Global Equity & Income Team

      Nelson Arruda, MFin., MSc., CFA

      Senior Vice President, Portfolio Manager, Head of Team

      Investment experience since 2010

      Mackenzie Multi-Asset Strategies Team

      Katherine Owen, MBA, CFA

      Vice President, Portfolio Manager

      Investment experience since 1996

      Mackenzie Global Equity & Income Team

      Michael Kapler, MMF, CFA

      Vice President, Portfolio Manager

      Investment experience since 2002

      Mackenzie Multi-Asset Strategies Team

      James Barnby, MBA, CFA

      AVP, Portfolio Manager

      Investment experience since 2016

      Mackenzie Global Equity & Income Team

      Performance

      End value as of

      Peer Benchmark End Value as of

      Loading

      Chart
      Line chart with 2 lines.
      The chart has 1 X axis displaying Time. Range: to .
      The chart has 1 Y axis displaying values. Range: to .
      End of interactive chart.
      Loading...

      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).

      Chart
      Bar chart with 0 bars.
      The chart has 1 X axis displaying categories.
      The chart has 1 Y axis displaying values. Range: to .
      End of interactive chart.

      Portfolio

      Major holdings represent 0.00% of the fund as of

      Major Holdings

      Allocations

      Codes & Fees

      More Advisor Information
      {}

      Historical Data

      Loading...

      Periodic Distributions