Daniel Straus
Mackenzie Max Dvrs Cda Index ETF
MKC-T
TOP PICK
Aug 20, 2019
This is what they are using in their ESG model portfolio. Tracks a quantitative index. Tries to build out a portfolio of Canadian companies that are as diverse from each others as possible, which can be a very useful corrective, particularly for the Canadian market that can be concentrated in energy and ressources. A little bit of a better risk-adjusted return, potentially, at least that's the promise. MER 0.67%. Yield 1.87%.