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Mackenzie Bluewater Global Growth Fund Series LB

Global Equity

FundGrade E Click for more information on Fundata’s FundGrade

FundGrade E

Click for more information on Fundata’s FundGrade.

Fundata ESG GradeD Click for more information on Fundata’s ESG Grade

Fundata ESG Grade D

Click for more information on Fundata’s ESG Grade.

NAVPS
(11-12-2025)
$31.82
Change
-$0.01 (-0.04%)

As at October 31, 2025

As at August 31, 2025

As at October 31, 2025

Period
Created with Highcharts 10.3.3Jan 2023Apr 2023Jul 2023Oct 2023Jan 2024Apr 2024Jul 2024Oct 2024Jan 2025Apr 2025Jul 2025Oct 2025Jul 2013Jul 2015Jul 2017Jul 2019Jul 2021Jul 2023Jul 2025Jul…$10,000$9,000$11,000$12,000$13,000$14,000$15,000Period

Legend

Mackenzie Bluewater Global Growth Fund Series LB

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Fund Returns

Inception Return (January 23, 2012): 10.10%

Fund Returns
Row Heading Return Annualized Return
1 Mth 3 Mth 6 Mth YTD 1 Yr 2 Yr 3 Yr 4 Yr 5 Yr 6 Yr 7 Yr 8 Yr 9 Yr 10 Yr
Fund -1.32% -0.01% 2.67% -0.89% 1.52% 11.37% 10.20% 1.35% 5.97% 7.14% 8.53% 7.69% 9.09% 7.72%
Benchmark 2.78% 9.76% 23.30% 17.91% 23.32% 28.06% 22.53% 12.74% 15.64% 13.95% 13.79% 12.12% 12.86% 12.07%
Category Average 1.75% 6.90% 17.86% 13.80% 17.06% 22.40% 17.50% 8.57% 12.16% 10.70% 10.63% 9.16% 9.91% 9.14%
Category Rank 2,086 / 2,154 2,117 / 2,143 2,049 / 2,105 2,051 / 2,080 2,021 / 2,072 1,913 / 1,971 1,773 / 1,849 1,659 / 1,708 1,501 / 1,548 1,331 / 1,442 1,141 / 1,358 907 / 1,140 700 / 1,027 700 / 859
Quartile Ranking 4 4 4 4 4 4 4 4 4 4 4 4 3 4

Monthly Return

Created with Highcharts 10.3.3-6%-4%-2%0%2%4%6%
Monthly Return
Return % Nov Dec Jan Feb Mar Apr May Jun Jul Aug Sep Oct
Fund 4.65% -2.12% 5.48% -1.87% -4.26% -2.59% 2.90% -0.21% -0.01% -0.54% 1.88% -1.32%
Benchmark 4.44% 0.14% 3.94% -1.04% -4.18% -2.97% 5.37% 3.64% 2.87% 1.95% 4.75% 2.78%

Best Monthly Return Since Inception

9.59% (November 2022)

Worst Monthly Return Since Inception

-12.12% (January 2022)

Calendar Return (%)

Created with Highcharts 10.3.3-30%-20%-10%0%10%20%30%
Calendar Return
Return % 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Fund 18.10% -5.93% 20.28% -0.99% 22.94% 19.10% 22.98% -21.23% 12.90% 13.98%
Benchmark 16.88% 5.18% 16.29% -1.79% 21.41% 13.15% 17.62% -12.64% 19.37% 26.84%
Category Average 8.98% 3.86% 14.23% -5.38% 19.94% 11.73% 16.21% -13.86% 15.08% 20.13%
Quartile Ranking 2 4 1 2 2 1 1 4 3 4
Category Rank 274/ 754 861/ 876 150/ 1,029 295/ 1,175 366/ 1,370 264/ 1,452 144/ 1,567 1,505/ 1,719 1,263/ 1,858 1,674/ 1,972

Best Calendar Return (Last 10 years)

22.98% (2021)

Worst Calendar Return (Last 10 years)

-21.23% (2022)

Asset Allocation

Asset Allocation
Name Percent
US Equity 65.11
International Equity 31.12
Canadian Equity 3.61
Cash and Equivalents 0.15
Other 0.01

Sector Allocation

Sector Allocation
Name Percent
Technology 30.59
Industrial Services 12.13
Consumer Services 11.39
Industrial Goods 10.86
Healthcare 10.20
Other 24.83

Geographic Allocation

Geographic Allocation
Name Percent
North America 68.88
Europe 28.02
Asia 3.11

Top Holdings

Top Holdings
Name Percent
NVIDIA Corp 5.16
Microsoft Corp 5.15
Apple Inc 4.10
Compass Group PLC 3.86
Waste Connections Inc 3.61
Ferrari NV 3.23
Amazon.com Inc 3.21
Linde PLC 2.90
Roper Technologies Inc 2.88
Mastercard Inc Cl A 2.39

Equity Style

Market capitalization is large. Equity style is growth.

Fixed Income Style

Fixed income style data not available
Period: 

Risk vs Return (3 Yr)

Created with Highcharts 10.3.3Risk (Annualized Standard Deviation)ReturnMedian DeviationMedian Return246810121416182022240%10%20%30%40%50%

Mackenzie Bluewater Global Growth Fund Series LB

Median

Other - Global Equity

3 Yr Annualized

Standard Deviation 11.46% 14.16% 13.05%
Beta 0.99% 1.05% 1.00%
Alpha -0.10% -0.09% -0.04%
Rsquared 0.77% 0.78% 0.80%
Sharpe 0.56% 0.29% 0.50%
Sortino 1.21% 0.39% 0.59%
Treynor 0.07% 0.04% 0.06%
Tax Efficiency 99.40% 96.52% 92.47%
Volatility Volatility rating is 7 on a scale of 1 to 10 Volatility rating is 8 on a scale of 1 to 10 Volatility rating is 7 on a scale of 1 to 10

Risk Rating

Rating 7 out of ten

Annualized Key Ratio Period Comparison

Key Ratio
Key Ratio 1 Yr 3 Yr 5 Yr 10 Yr
Standard Deviation 10.34% 11.46% 14.16% 13.05%
Beta 0.79% 0.99% 1.05% 1.00%
Alpha -0.15% -0.10% -0.09% -0.04%
Rsquared 0.68% 0.77% 0.78% 0.80%
Sharpe -0.08% 0.56% 0.29% 0.50%
Sortino -0.16% 1.21% 0.39% 0.59%
Treynor -0.01% 0.07% 0.04% 0.06%
Tax Efficiency 89.99% 99.40% 96.52% 92.47%

Fundata ESG Metrics

Fundata ESG Score

Created with Highcharts 10.3.3Grade: EGrade: DGrade: CGrade: BGrade: A14.014.051.151.10%10%20%30%40%50%60%70%80%90%100%

The E, S, and G scores are averaged for each security in the portfolio, to arrive at an ESG score for each security. We take the portfolio weighted average of the ESG scores for each fund and rank them against their peers to arrive at the Fundata ESG Score from 0-100.

Fundata E Score

Created with Highcharts 10.3.3Grade: EGrade: DGrade: CGrade: BGrade: A25.125.152.252.20%10%20%30%40%50%60%70%80%90%100%

Three scores under the Environment bucket are averaged to yield the Fundata Environment Score for each fund from 0-100: (1) Pollution Prevention, (2) Environmental Transparency, (3) Resource Efficiency.

Fundata S Score

Created with Highcharts 10.3.3Grade: EGrade: DGrade: CGrade: BGrade: A12.512.549.549.50%10%20%30%40%50%60%70%80%90%100%

Six scores under the Social bucket are averaged to yield the Fundata Social Score for each fund from 0-100. (1) Compensation and Satisfaction, (2) Diversity and Rights, (3) Education and Work Conditions, (4) Community and Charity, (5) Human Rights, (6) Sustainability Integration.

Fundata G Score

Created with Highcharts 10.3.3Grade: EGrade: DGrade: CGrade: BGrade: A11.111.155.855.80%10%20%30%40%50%60%70%80%90%100%

Three scores under the governance bucket are averaged to yield the Fundata Governance Score for each fund from 0-100: (1) Board Effectiveness, (2) Management Ethics, (3) Disclosure and Accountability.

Powered by OWL Analytics. For more information, please contact Fundata Canada.

Fund Details

Start Date January 23, 2012
Instrument Type Mutual Fund
Share Class Commission Based Advice
Legal Status Trust
Sales Status Open
Currency CAD
Distribution Frequency Annual
Assets ($mil) $834

Fund Codes

FundServ Code Load Code Sales Status
MFC8392

Investment Objectives

The Fund seeks capital growth over the longer term by investing primarily in a broad range of global equity securities. The Fund primarily invests in developed markets but, from time to time, may invest in emerging markets. Any proposed change in the fundamental investment objectives of the Fund must be approved by a majority of votes cast at meeting of Fund investors called for that purpose.

Investment Strategy

The investment approach follows a company-focused investment style, seeking companies with strong management, good growth prospects and a solid financial position. Emphasis is placed on paying reasonable prices for the free cash flow growth that companies in the portfolio are expected to achieve. The Fund follows an ESG-Integrated approach, as further described under the heading “Sustainable Investing at Mackenzie”.

Portfolio Management

Portfolio Manager

Mackenzie Financial Corporation

  • David Arpin
  • David Taylor
  • Tyler Hewlett
  • Shah Khan
  • Mark Hamlin
Sub-Advisor

-

Management and Organization

Fund Manager

Mackenzie Financial Corporation

Custodian

Canadian Imperial Bank of Commerce

Registrar

Mackenzie Financial Corporation

Distributor

LBC Financial Services Inc.

Investment Minimums

RSP Eligible Yes
PAC Allowed Yes
PAC Initial Investment 50
PAC Subsequent 50
SWP Allowed No
SWP Min Balance -
SWP Min Withdrawal -

Fees

MER 2.62%
Management Fee 2.00%
Load No Load
FE Max -
DSC Max -
Trailer Fee Max (FE) -
Trailer Fee Max (DSC) -
Trailer Fee Max (NL) 1.00%
Trailer Fee Max (LL) -

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