Manulife Strategic Income Fund

Provides exposure to multiple fixed income sectors, while employing dynamic currency management through risk-reducing hedging strategies and return enhancing overlays.

 
 

Related Media

3 Minutes with Daniel Janis and Christopher Chapman
Manulife Strategic Income Fund
Dan and Chris discuss current opportunities in fixed income, outlook on interest rates and currency, and the fund’s success. June 2014

Portfolio Manager Soundbyte – C. Chapman
Chris discusses the four significant risks in the market: interest rate risk, credit risk, currency risk, and liquidity risk. He mentions how the Manulife Strategic Income Fund is positioned. April 2015.

Portfolio Manager Soundbyte – Chuck Tomes
Chuck discusses the 4 risks in the global fixed income market: Interest rate risk, credit risk, foreign currency risk, and liquidity risk. He discusses how the Manulife Strategic Income Fund is positioned in current market conditions. July 2015

 
 
 
 

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