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Manulife Strategic Income Fund Series F (0P0000NFNA)

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11.209 -0.010    -0.13%
01/11 - 闭盘. CAD 货币
类型:  基金
市场:  加拿大
发行商:  Manulife Investments
资产类别:  债券
  • 晨星评级:
  • 总资产: 8.59B
Manulife Strategic Income Fund Series F 11.209 -0.010 -0.13%

0P0000NFNA概述

 
本页面提供Manulife Strategic Income Fund Series F的详细介绍,帮助您了解0P0000NFNA的高管、总资产、投资策略和联系方式等信息。
种类

Multi-Sector Fixed Income

总资产

8.59B

费用

开始日期

2007年1月11日

联络信息

地址 North Tower Floor 3
Toronto,ON M4W 1E5
Canada
电话 416 581 8350
传真 416 581 8428

高管

名称 标题 任期
Charles Tomes Associate Portfolio Manager 2024 now
背景介紹 Charles C. Tomes is a director and associate portfolio manager on the Global Multi-Sector Fixed Income Team at Manulife Investment Management. He is responsible for portfolio management, global bond and currency research, asset allocation and risk management for the company’s global multi-sector fixed income strategies. Prior to this position, Charles was a senior investment analyst and trader with the Global Multi-Sector Fixed Income Team. Previously, Charles worked at John Hancock and he started his career at Morgan Stanley.
Bradley Lutz Portfolio Manager 2022 now
背景介紹 Brad is a managing director and portfolio manager on the preferred income team at Manulife Investment Management; he’s also a senior investment analyst, supporting the company’s fixed-income strategies. Brad provides expertise in the power and utility, aerospace and defense, and industrials sectors. Most recently, he was responsible for the same duties at Declaration Management & Research, an affiliate of Manulife. Earlier in his career, Brad worked for Summit Investment Partners, with research, trading, and portfolio management responsibilities for high-yield and investment-grade corporate bonds; prior to that, he was with Pacholder Associates as a high-yield credit analyst. Brad holds the Certified Financial Analyst designation. Education: B.S. in Finance, Miami University Joined the company: 2002 Began career: 1992
Christopher M. Chapman Senior Portfolio Manager 2017 now
背景介紹 Chris is co-leader of the company’s global multi sector fixed income strategies, responsible for portfolio management, global sovereign debt, portfolio construction, and currency and risk management. Previously, he was a portfolio manager for global multi sector fixed income and, prior to that, he was a senior investment analyst and trader with the team. Earlier in his career, he worked in several other areas of the firm, including as an investment risk analyst on the quantitative research team. Chris began his career at State Street Bank. He holds the Certified Financial Analyst designation.
Kisoo Park Managing Director 2011 now
背景介紹 Kisoo Park is a managing director and portfolio manager on the Global Multi-Sector Fixed Income Team at Manulife Investment Management. He is responsible for portfolio management, global bond research and currency management for the company’s global multi-sector fixed income strategies. Before joing the company, Kisoo was a founding member and COO of hedge fund firm based in Hong Kong. Prior to that, he was the CIO responsible for tactical asset allocation investing in global equities, fixed income, commodities, FX and interest rate asset classes at Prince Asset Management, Hong Kong.
Thomas C. Goggins Vice President 2009 now
背景介紹 Thomas C. Goggins is a senior managing director and senior portfolio manager on the Global Multi-Sector Fixed Income Team at Manulife Investment Management. He is responsible for portfolio management, global bond research, security selection and risk management for the company’s global multi-sector fixed income strategies. Prior to joining the company, Tom held positions at Putnam Investments, Transamerica Investments, SAC Capital and Fontana Capital.
Daniel S. Janis Senior Managing Director 2005 2023
背景介紹 Daniel S. Janis, III is head of Global Multi-Sector Fixed Income at Manulife Investment Management. He is a senior managing director, senior portfolio manager and the lead portfolio manager for the company’s global multi-sector fixed income strategies, responsible for asset allocation, global bond research and currency management. His areas of expertise include global economics, foreign exchange, derivatives and risk management. Prior to joining the company, Dan was a vice president and proprietary risk manager for BankBoston.
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