Helping investors realize the possibilities

At Manulife Investment Management, we’re passionate about partnering with our institutional clients to create investment solutions. We offer leading capabilities across the world’s public and private markets to help clients build a better tomorrow.

Learn more

Investing in natural capital

As the world’s largest investment manager of natural capital assets,¹ we’re uniquely placed to recognize existing opportunities, emerging themes, and provide long-term value for our stakeholders while supporting a positive trajectory for the global economy.
Learn more

Real estate credit strategies

We partner with institutional owners, developers, and operators on high-quality U.S. commercial real estate, offering flexible loan structures and creative capital solutions with certainty of execution.
Read more
Important disclosures

1 IPE research, as of January 29, 2024. Ranking is based on total natural capital assets under management (AUM), which includes forestry/timberland and agriculture/farmland AUM. Firms were asked to provide AUM and the as of dates vary from December 31, 2022, to December 31, 2023.


Investment capabilities—combining local insight and global resources

Managing over $480 billion across asset classes, our specialist teams leverage the deep local expertise of more than 703 investment professionals based in over 20 different geographies throughout the world. We're part of a global financial institution that's protected investor assets since 1887, including over a century of on-the-ground experience in Asia.

Fixed income

Capabilities spanning the credit spectrum in both regionally focused and global portfolios

Learn more

Alpha-focused equity

Differentiated strategies pursuing specialized and durable sources of alpha

Learn more

Private markets

Decades of experience investing in private markets, including natural capital, real assets, and private equity and credit

Learn more

Multi-asset solutions

Over 25 years of experience in delivering active and strategic asset allocation solutions

Learn more
Important disclosures
Source: MFC Statistical Information Package as of June 30, 2024. AUM is in USD. AUM includes assets internally managed by Manulife Investment Management on behalf of external clients, the Manulife General Account and other affiliated businesses. The methodologies used to compile the total AUM are subject to change and may not reflect regulatory AUM as reported on certain affiliates Form ADV.
Manulife Investment Management AUMA at June 30, 2024 which includes US$479.01 billion assets under management and US$0.78 billion assets under administration. Manulife Investment Management’s global investment professional team includes expertise from several Manulife Investment Management affiliates and joint ventures. Not all entities represent all asset classes.

Latest viewpoints

  • Assessing China’s latest stimulus measures

    Kai-Kong Chay, CFA

    Kai-Kong Chay, CFA,  Senior Portfolio Manager, Greater China Equities Manulife Investment Management

    Greater China Equities Team analyses the latest round of strategic stimulus and explains why it warrants more than short-term tactical attention. The team also highlights a case study of Chinese companies that are ‘going-global’ to showcase this interesting juncture in the country’s corporate development.
  • As reinvestment risk emerges, how should investors navigate market uncertainty?

    Jeffrey N. Given, CFA

    Jeffrey N. Given, CFA,  Senior Portfolio Manager, Co-Head of U.S. Core and Core-Plus Fixed Income Manulife Investment Management

    Howard C. Greene, CFA

    Howard C. Greene, CFA,  Senior Portfolio Manager, Co-Head of U.S. Core and Core-Plus Fixed Income Manulife Investment Management

    Connor Minnaar, CFA

    Connor Minnaar, CFA,  Portfolio Manager, Core and Core-Plus Fixed Income, Manulife Investment Management Manulife Investment Management

    Pranay Sonalkar, CFA

    Pranay Sonalkar, CFA,  Portfolio Manager, U.S. Core and Core Plus Fixed Income Manulife Investment Management

    The Fed’s policy shift has brought reinvestment risk to the forefront. Discover how active management can potentially help investors who are ready to take cash off the sidelines.
  • Rising inequality: a global sustainability challenge that needs our attention

    Brian J. Kernohan

    Brian J. Kernohan,  Chief Sustainability Officer Manulife Investment Management

    Iraz Soyalp, Ph.D.

    Iraz Soyalp, Ph.D.,  Director, Social Impact, Private Markets Manulife Investment Management

    The systemic risks of rising inequality include limits to productivity and innovation, constrained economic growth, and entrenched political instability. We explore the drivers of these risks and what can be done to mitigate them.

We’re committed to making a positive impact

We believe environmental, social, and governance (ESG) factors can materially affect financial value and in offering choices to our investors. Our range of sustainability options—from ESG-integrated portfolios to ESG-focused and impact-first investments—spans the world’s public and private markets.

Stewardship

We endeavor to enhance the resiliency of our clients’ assets through our robust program of stewardship.
Read more

Sustainability reporting

Our commitment to transparency includes regular reporting on our sustainable investing efforts using globally recognized reporting frameworks and standards.
Read more

Case studies

Explore our sustainable investing case studies for global examples of our engagement across a broad range of sustainability themes.
Read more

Latest news