In the first instalment of a three-part global equity roundtable, three mutual fund managers explain how they’re positioning their portfolios for potentially stormy market conditions in the year ahead
The fund is designed so that managers have “significant latitude” to select the most attractive opportunities across the global fixed income spectrum
The proposal includes amending the fund’s fundamental investment objective, changing its name and reducing fees for Series A, F and G units
A commodities-based economic recovery should support the fortunes of small-cap stocks
Adelaide Kim will co-manage Mackenzie Canadian Large Cap Dividend & Growth Fund as of Nov. 21
But there also are some risks, including the health of China's economy and the threat of low commodities prices
Phillips, Hager and North Investment Management and Mawer Investment Management were the big winners at this year’s event
The firm also announced that Lazard Asset Management will act as expert advisor to provide asset-allocation recommendations for the Chorus II portfolios
The change occurs as the team of portfolio managers responsible for the funds’ risk-management overlay strategy moved to Fiera from HR Strategies
Portfolio managers point to uncertainty caused by Brexit and sluggishness of many economies in Europe