Manulife Strategic Income Fund

This global multi-sector fixed income fund can access any fixed income asset class from any area of the world.  Coupled with a focused, active currency management the composition of this portfolio offers investors a unique opportunity in the space. With discretionary portfolio managers based in Hong Kong, London and Boston, this global multi-sector fixed income fund is managed 24 hours a day, 6 days a week with prudent risk management as the primary focus in all investment decisions.   The team focuses on the management of 4 key risks to the portfolio: Credit, Liquidity, Interest Rate and Currency.

 
 

Related Media

Portfolio Manager Soundbyte – Chuck Tomes
Chuck discusses how the Manulife Strategic Income Fund is positioned in current market conditions. March 2018

Thomas Goggins - Manulife Strategic Income Fund
Manulife Strategic Income Fund - Thomas shares insight on the Manulife Strategic Income Fund including the investment strategy, how ideas are generated and risk mitigation. June 2016.

 
 

1On April 15, 2016, the Standard Life Emerging Markets Debt Fund merged into the Manulife Emerging Markets Debt Fund. Because the fund that was merged into the Manulife Emerging Markets Debt Fund had a larger asset base than the Manulife Emerging Markets Debt Fund, the performance data for the Manulife Emerging Markets Debt Fund may not be provided for any period prior to the merger transaction.   2On April 6, 2018, the Manulife Global Tactical Credit Fund was renamed the Manulife Unconstrained Bond Fund. On April 20, 2018, the Manulife Asia Total Return Bond Fund merged into the Manulife Global Unconstrained Bond Fund.   3On April 20, 2018, the Manulife U.S. Dollar Floating Rate Income Fund merged into the Manulife U.S. Dollar Strategic Income Fund.  

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