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We power a future of infinite possibilities for our clients

 

Since our founding in 1967, Mackenzie Investments has developed deep experience as a premier Canadian global asset manager.

We combine the advantages of specialized investment boutiques with the strength and resources of one of Canada’s largest independent asset management firms to offer diverse solutions across key asset classes and investment vehicles.

C$239.5B AUM

At Mackenzie as of September 30, 2025


170

Investment professionals


16

Specialized boutiques

C$213B

AUM as at Dec. 31, 2024

_________________________

200+
Investment professionals

_________________________

16
Specialized boutiques

Global scale and strength 

Leveraging the resources of Power Corporation, we operate specialized investment teams worldwide, delivering exceptional solutions to Canadian and international clients.

Specialized boutiques

Our 16 distinct investment boutiques, combined with extensive resources, allow us to navigate diverse market conditions and provide tailored solutions.

Leading
solutions 

We offer cutting-edge solutions to help clients achieve long-term financial goals, spanning investment vehicles, asset classes and strategies.

Global scale and strength

Our expertise is enhanced by our ownership structure. As part of IGM Financial, a subsidiary of Power Corporation, we benefit from a 100-year legacy and the financial strength and scale of one of Canada’s largest companies. This relationship allows us to leverage expertise and partnerships across Power Corporation's diverse portfolio, including Canada Life, Irish Life, Portage Ventures, Rockefeller Capital Management and Power Sustainable.




Specialized boutiques

 

Our 16 distinct investment boutiques, combined with extensive resources, allow us to navigate diverse market conditions and provide tailored solutions.

Leading solutions

 

Mackenzie offers comprehensive investment strategies managed by leading professionals. We provide diverse options across investment vehicles, asset classes and strategies.

Quantitative investing

We believe in a core style of investing that employs advanced quantitative methods to exploit market inefficiencies, focusing on generating alpha through a risk-aware investment approach across diverse market environments.

Energy
transition

The global energy transition from fossil-fuels to renewable power is driving structural change and creating new opportunities. Investing in the transition is complex, but as pioneers in sustainable investing, we’re positioned to navigate this transformational investment opportunity.

Sustainable fixed income

We apply a flexible, risk-aware approach to fixed income investing, leveraging deep expertise and ESG-integrated analysis to uncover opportunities across global markets while aiming to enhance returns and manage downside risk. 

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