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

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. He discusses how the Manulife Strategic Income Fund is positioned in current market conditions. April 2016.

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.


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