FUND CODES
Series
$CDN
Front
End
Back
End
Low
Load
A 02730 03638 03639
F 02731 -- --
I 02732 -- --
* Series G - Group Purchase Option (GPO)

Mackenzie Destination+ 2017 Fund Series A

 
FUND FACTS
 
Total Fund Assets: $0.00 million
Asset Class: Global Balanced Target Date Portfolio
Management Fees: 1.05%
MER: 1.36% (as of Sept. 30 2009)
 
  PRICE (NAVPS) Daily Change
  as of Sep 01, 2010 $ %
$CDN  9.3132 -0.0323 -0.3457
$US -- -- --
 
Date Highest Locked-in NAV
Aug 11, 2008 10.0427
 
 
DISTRIBUTIONS
see prospectus
  Most Recent $ per unit Reinvest Price ($) Frequency
$CDN Dec 24, 2009 0.3619 8.6364 A
$US -- -- -- --
KEY REASONS TO INVEST IN THIS FUND
This Fund is closed to new investments.
 
 
RECENT DEVELOPMENTS
Fund Commentary Express Fund Profile

To view the complete list of holdings for this and other Mackenzie mutual funds, click here.

 

 

COMPOUND ANNUAL RETURNS
as of Jul 30, 2010
1 month 0.3%
3 month 3.8%
6 month 2.7%
1 year 7.2%
2 years -1.4%
Year to Date 5.4%
Since Inception -2.4%
Inception Date Jun 08
 

 
MAJOR HOLDINGS
     
Company Country Sector %
Top holdings information is not available for this fund.
CALENDAR YEAR RETURNS
2009 2.9%
2008 --%

The Calendar Year Returns shown above are the Canadian dollar returns.
FUND MANAGERS
 
HOW YOUR MONEY IS MANAGED
Bluewater Investment Management
Bluewater Investment Management
The Cundill Group
Mackenzie Cundill Investment Management Ltd.
Mackenzie Financial Corporation
Mackenzie Financial Corporation
Waddell & Reed Inc.
Waddell & Reed Inc.
  • Seeks to provide capital appreciation during the term of the Fund and to return the highest daily net asset value per unit recorded over this term (the “Guaranteed Maturity Amount”) at the end of this term (the “Destination Date”) by investing in other Mackenzie mutual funds, fixed-income securities and cash equivalents.
  • The percentage allocated to each of these asset classes will be determined by the Fund’s asset allocation strategy.
  • Initially, the Fund will invest primarily in equity funds, but over time, the Fund will gradually increase the percentage of its assets allocated to fixed-income securities
  • The Fund’s asset allocation decision is driven by a number of factors, including the remaining time until the Destination Date, the Guaranteed Maturity Amount,the net asset value of the Fund and prevailing interest rates.

    Some funds may use derivatives to hedge their exposure to foreign currencies. For more information, please click here.

 
VALUE OF INVESTMENT
as of Jul 30, 2010

 
Amount Invested: $ 10,000
Current Value: $ 9,624
 

EQUITY ALLOCATION
as of July 31, 2010

 

FIXED INCOME ALLOCATION
as of July 31, 2010

 
RELATED DOCUMENTS
08/09/2010
06/23/2008