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Mackenzie Investments Implements Bloomberg's Multi-Asset Risk Model to Enhance Portfolio Risk Forecasting
June 24, 2026
NEW YORK, June 24 -- Bloomberg issued the following news on June 23, 2026:

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Mackenzie Investments Implements Bloomberg's Multi-Asset Risk Model to Enhance Portfolio Risk Forecasting

New York and Toronto, ON -- Bloomberg today announced that Mackenzie Investments, one of Canada's leading investment firms with approximately $265 billion in assets under management (as of May 31, 2026), has implemented Bloomberg's Multi-Asset Class Factor Mo . . .

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