

The Invested
Mackenzie Investments
Get perspectives on today’s markets. Join Mackenzie’s Chief Investment Officer, portfolio managers and investment strategists where they provide in-depth perspectives and timely insights on key trends that affect today’s markets and investment portfolios.
Episodes
Mentioned books

Dec 19, 2023 • 33min
Lori Kerr & Andrew Vasila – What COP28 Means for Sustainable Infrastructure and Investors
Lori Kerr and Andrew Vasila discuss COP28 outcomes, FinDev Canada's mission in sustainable infrastructure, unleashing private capital, and strategic growth in sustainable investing. Highlighting methane reduction, fossil fuel phase-down, financial solutions, Gaia platform, and economic opportunities in decarbonization investments.

Dec 15, 2023 • 38min
Dustin Reid – Unpacking the Fed’s Dovish Tone
In this episode, join host Matthew Schnurr as he welcomes Dustin Reid, VP and Chief Fixed Income Strategist at Mackenzie Investments, to discuss the dovish narrative that emerged from the Federal Reserve’s recent meeting. Dustin explores the underlying economic data that influenced the Fed’s decision and shares insights on the potential for rate cuts next year, starting as early as March. Dustin also shares his thoughts on the Bank of Canada’s stance and discusses fixed income opportunities in emerging markets.
This episode was recorded on December 14, 2023.

Dec 7, 2023 • 42min
Special: 2024 Market Outlook with Lesley Marks and Steve Locke
The investment and economic environments have changed over the last 12 months. And elevated risks suggest that “safety first” is a good investment motto for the year ahead. In this special episode, host Matthew Schnurr is joined by Mackenzie Investments’ Lesley Marks, CIO of Equities, and Steve Locke, CIO of Fixed Income and Multi-Asset Strategies, to discuss their market outlook for 2024.
Topics discussed in their conversation include:
Review of equity and fixed income markets this year
Expectations from central banks next year
Asset mix recommendations for equities and fixed income
Three key themes
How geopolitical events can impact equities and fixed income
For more insights and perspectives, download our 2024 market outlook.
This episode was recorded on December 4, 2023

Nov 30, 2023 • 26min
Konstantin Boehmer – Pockets of Value and Opportunities in Fixed Income Markets
In this episode, join host Matthew Schnurr and his guest Konstantin Boehmer, SVP, Portfolio Manager and Co-Lead of Mackenzie’s Fixed Income team, for a review of fixed income markets this year. Konstantin discusses his expectations for the year and explains that while overall performance in fixed income markets were not outstanding, there were pockets of value to be found. Konstantin also highlights his three most highly convicted fixed income ideas as we approach 2024.
This episode was recorded on November 23, 2023.

Nov 28, 2023 • 30min
Benoit Gervais – Inflation and the Energy Transition: Implications for the Commodity Complex
In this episode, join host Matthew Schnurr as he welcomes Benoit Gervais, Portfolio Manager and Head of Mackenzie Resource team, to discuss the key factors driving long-term inflation expectations. Benoit explains the distinction between supply-led and demand-led inflation, highlighting the shift from temporary supply chain disruptions to sustained wage-driven inflation. Benoit also explores the implications of the energy transition on commodities, emphasizing the importance of environment and social standards in shaping consumer preferences.
This episode was recorded on November 21, 2023.

Nov 6, 2023 • 20min
Lesley Marks – Is the Inflation Story Over?
Join host Matthew Schnurr and his guest Lesley Marks, CIO of Equities at Mackenzie Investments, as they explore the significant market drivers, from the complex geopolitical situation in the Middle East to the latest economic data. Lesley also discusses if Canada is in a technical recession and whether the inflation story is really over.
This episode was recorded on November 1, 2023.

Nov 3, 2023 • 35min
Dustin Reid – Unravelling Central Bank Strategies: Market Pricing, Narratives, and Global Trends
In this episode, join host Matthew Schnurr as he welcomes Dustin Reid, VP and Chief Fixed Income Strategist at Mackenzie Investments, for an analysis of recent central bank actions in the US, Canada, and Japan. Dustin explores the Federal Reserve’s decision to hold interest rates, its approach to managing inflation, and the implications for the US economy. Moving to Canada, Dustin discusses the Bank of Canada’s concerns about sluggish economic growth and explores the possibility of cutting interests before hitting 2% inflation. Shifting to Japan, Dustin dissects the Bank of Japan’s yield curve control policy and the adjustments that have been made.
This episode was recorded on November 2, 2023.

Oct 31, 2023 • 33min
Nelson Arruda & Jules Boudreau – Global Economic Trends: Oil, Currencies, and More
In this episode, host Matthew Schnurr and his guests Nelson Arruda, Portfolio Manager and Head of Mackenzie’s Multi-Asset Strategies Team, and Jules Boudreau, Senior Economist, take you on an around the world journey diving into key global economic trends. The team covers topics such as oil, currency markets, equities, and the Canadian economy.
This episode was recorded on October 27, 2023.

Oct 26, 2023 • 34min
Shane Feeney – The Case for Private Equity Investments
In this episode, join host Matthew Schnurr as he welcomes Shane Feeney, Managing Director and Global Head of Secondaries at Northleaf Capital Partners, for a deep dive into the world of private equity investing. Shane shares his insights into various private equity strategies and how the Northleaf team leverages an integrated model, which includes primary, secondary, and direct co-investment strategies. Shane also discusses the team’s approach to assessing private equity managers, the importance of diversification, and the impacts of a higher interest rate environment on the asset class.
This episode was recorded on October 20, 2023.

Oct 13, 2023 • 35min
Dustin Reid – What’s Been Driving Volatility in the Long End of the Curve?
In this episode, join host Matthew Schnurr and his guest, Dustin Reid, VP and Chief Fixed Income Strategist at Mackenzie Investments, as they explore the factors and events that have been driving the rise in yields and volatility in the long end of the yield curve. Dustin also provides his insights into the latest US CPI reading and offers fixed income trade opportunities to capture real yields.
This episode was recorded on October 12, 2023.


