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Transcript
MEE MACKENZIE ETFs
MACKENZIEETFs MEE
Mackenzie Maximum Diversification Emerging Markets Index ETF
Investment Approach
1. Enhanced Diversification May
Improve Risk-Adjusted Returns
Mackenzie’s Maximum Diversification Emerging Markets
Index ETF seeks to increase diversification to reduce
biases and enhance risk-adjusted returns.
Maximum Diversification Approach
Diversified
Diversified
PortfolioPortfolio
For illustrative purposes only.
• TOBAM’s index methodology selects individual
stocks and their weights to significantly reduce
the correlations between individual holdings.
• The ETF aims to create a more diversified equity
portfolio relative to a market capitalizationweighted benchmark by employing a
mathematical definition of diversification, which
TOBAM defines as the Diversification Ratio®.
Return
This ETF Seeks to replicate, to the
extent reasonably possible and before
fees and expenses, the performance of
the TOBAM Maximum Diversification
Emerging Index, or any successor
thereto. It invests primarily in equity
securities of emerging markets.
Why invest in this fund?
Return
Investment Objective
Risk Risk
PremiumPremium
Benchmark
Benchmark
Risk (volatility)
Risk (volatility)
2. Concentration is the
Enemy of Diversification
Emerging markets have a history of excessive concentration
by sector and country. Currently, two sectors – Financials
and Information Technology – comprise almost half of the
entire market. Also, emerging markets have been known to
be volatile places to invest. Avoiding excessive concentration
using a well-designed, systematic approach can protect
value while ensuring investors maintain exposure to all
sources of potential future return.
MSCI Emerging Markets Index: Sector Weights
Rest of the
Financials
and and
Rest of the
Financials
Emerging
Information
Emerging
Information
MarketsMarkets
Technology
52.31%52.31%
47.69%47.69%Technology
Sectors Sectors
Source: MSCI, as of December 30, 2016.
3. TOBAM’s expertise now exclusively available to retail Investors in Canada
TOBAM’s clients are primarily sophisticated institutional investors in Europe, Asia and the U.S. and include CalPERS, the
largest public pension fund in the U.S.
Mackenzie Investments now offers TOBAM’s proven, award-winning diversification methodology to all Canadian retail investors.
MEEETFMACKENZIE ETFs
Mackenzie Maximum Diversification Emerging Markets Index
MACKENZIEETFs MEE
Index Provider
Why Mackenzie?
Mackenzie Maximum Diversification Index ETFs are based on TOBAM Maximum Diversification Index Series created by TOBAM S.A.S.
The TOBAM Maximum Diversification Index Series are based on constituents in the Solactive AG Indices.
Mackenzie Investments has the strength
and diversity of perspectives to meet your
business needs and help support your clients in
all markets.
TOBAM is a Paris-based index provider and institutional asset manager with AUM of US$8B (31/12/15).
A clear vision
We’re committed to the financial success
of investors, through their eyes.
For more information, please visit mackenzieinvestments.com/etfs
Strong ownership
Part of IGM Financial (9th largest publicly
traded asset manager in the world) and the
Power Financial Group of Companies, trusted
advice champions with over $700B in assets.
Multiple perspectives
Commissions, management fees, brokerage fees and expenses all may be associated with Exchange Traded Funds. Please
read the prospectus before investing. Exchange Traded Funds are not guaranteed, their values change frequently and past
performance may not be repeated. Index performance does not include the impact of fees, commissions, and expenses that
would be payable by investors in the investment products that seek to track an index. An index’s performance is not illustrative
of an investable product’s performance. Indexes are not securities in which direct investments can be made. Standard deviation
is a measure of historical risk; future risk may be different.
Solactive AG is the third-party calculation agent of the TOBAM Maximum Diversification Index Series and received
compensation in that capacity. Solactive AG does not sponsor, endorse, sell, or promote any investment vehicle that is offered
by any third party that seeks to provide an investment return based on the performance of any index. It is not possible to invest
directly in an index.
Mackenzie Maximum Diversification Emerging Markets Index ETF data ©2017, TOBAM S.A.S. All rights reserved. “TOBAM” and
“Diversification Ratio” are a registered trademark and service mark of TOBAM S.A.S. or its affiliates (“TOBAM”) and is used under
license for certain purposes by Mackenzie Financial Corporation. Reproduction of the TOBAM data and information in any form
is prohibited except with the prior written permission of TOBAM S.A.S. Mackenzie Mutual Funds are not sponsored, endorsed,
sold or promoted by TOBAM and TOBAM makes no representation regarding the advisability of investing in such fund. TOBAM
does not guarantee the accuracy or completeness of any data and information and is not responsible for any error or omission
or for the results obtained from the use of such data and information. TOBAM GIVES NO EXPRESS OR IMPLIED WARRANTY,
INCLUDING, ANY WARRANTY OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE.
Equities Manager of the Year (Dec. 2015) – awarded to TOBAM by the Chief Investment Officer Industry Innovation Awards. An
advisory board made up of journalists and industry experts chose TOBAM as the winner. European Chief Investment Officer of
the year (Nov. 2015) – awarded to Yves Choueifaty by the Funds Europe Awards. 2014 Entrepreneurial Asset Manager of the
Year (Nov. 2014) awarded to TOBAM by Deloitte and Option Finance.
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Home to 10 distinct investment teams,
offering you multiple perspectives on
market risks and opportunities.