The energy transition opportunity requires a balanced approach

Mackenzie Greenchip Global Environmental Balanced Fund

Exploring investment opportunities in the energy transition

John Cook, Co-Lead of Mackenzie Investments’ Greenchip Team, and Konstantin Boehmer, Head of Fixed Income, discuss the latest themes and developments in the energy transition and explore investment opportunities in both equity and fixed income markets.

The energy transition: an opportunity of a lifetime

The annual investment in clean energy will need to increase to an estimated US$4.5 trillion every year by 2030 to meet global emissions targets, making the energy transition the opportunity of a lifetime.

Asset Class Global Balanced

Why invest in this fund?

  • Balanced approach combines equities of companies focused on environmental solutions and green bonds that are at the forefront of financing a sustainable future. 
  • Diversification benefits from a portfolio that will have low resemblance to many investor portfolios.
  • The great energy transition creates investment opportunities that bring a positive impact without sacrificing returns.

Formerly known as Mackenzie Greenchip Global Balanced fund.
Learn more about sustainable investing >

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
John A. Cook

John A. Cook, CIM

Senior Vice President, Portfolio Manager, Team Co-Lead

Investment experience since 1991

Mackenzie Greenchip Team
Gregory Payne

Gregory Payne, PhD, CFA

Senior Vice-President, Portfolio Manager, Team Co-Lead

Investment experience since 1999

Mackenzie Greenchip Team

Nelson Arruda, MFin., MSc., CFA

Senior Vice President, Portfolio Manager, Head of Team

Investment experience since 2010

Mackenzie Multi-Asset Strategies 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

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Major Holdings

Allocations

Codes & Fees

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Historical Data

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Periodic Distributions

Resources

Fund Materials

Regulatory Documents