For over 24 years, the Saxon Investment Management team has been delivering consistently strong investment performance, using its rigorous value-based approach.
Saxon’s Competitive Advantage
- 24 year track record
- Value investment style
- Consistent application of investment process
- Experienced in-house portfolio management team
- Focus on risk-adjusted performance
- Use of ‘private market value’(what a business is worth to an acquirer)
- Low market correlation
FUND CODES AND COMMISSIONS
| |
Fund Codes |
Upfront Commission |
Annual Trailing Commission |
| Series |
FE |
BE |
LL |
FE |
BE |
LL |
FE |
BE |
LL |
A |
02014 |
03023 |
04188 |
0-5% |
5% |
2.5% |
1% |
Yrs 1-7: 0.5%
Thereafter: 1% |
Yrs 1-3: 0.5%
Thereafter: 1% |
T6 |
02019 |
03024 |
04189 |
T8 |
02020 |
03025 |
04190 |
F |
02015 |
-- |
-- |
-- |
-- |
-- |
-- |
-- |
-- |
I |
02017 |
-- |
-- |
0-2% |
-- |
-- |
0.5% |
-- |
-- |
SALES TOOLS AND RESOURCES
Source: Morningstar PALTrak. Mackenzie Saxon Balanced Fund is in the Canadian Equity Balanced Mutual Funds category.
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