Assets under management
USD 427,505.19 million
*
Asset Classes Available1
Membership / Signatory
PRI
SFDR Categories available2
Manulife Investment Management is the asset management arm of Manulife Financial Corporation. Manulife Investment Management draws on more than a century of financial stewardship and the full resources of our parent company to serve institutional investors worldwide.
Our leading capabilities in public and private markets are strengthened by an investment footprint that spans 19 geographies. Manulife Investment Management complement these capabilities in multi-asset portfolios by providing access to a network of unaffiliated asset managers from around the world—a specialist approach that leverages the diverse expertise of a robust investment organisation in a culture of cross-asset class collaboration.
Manulife Investment Management is committed to investing responsibly and seeks to be a global leader of sustainable asset management, creating long-term value for stakeholders while helping realise a sustainable trajectory for the global economy. Manulife Investment Management develops innovative global frameworks for sustainable investing, collaboratively engage with companies in securities portfolios, and maintains a high standard of stewardship where it owns and operate assets.
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AUM includes assets internally managed by Manulife Investment Management on behalf of external clients, the Manulife General Account and other affiliated businesses, but excludes assets under administration. 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 September 30, 2023 which includes US$426.3 billion assets under management and US$1.2 billion assets under administration.
1 Asset Classes available in at least one of the Nordic countries (incl. Sweden, Denmark, Norway, Finland and Iceland) to institutional investors and/or private investors
2 SFDR categories available in at least one of the Nordic countries (incl. Sweden, Denmark, Norway, Finland and Iceland) to retail investors.