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Recognized for Excellence:
Celebrating Our Award-Winning Investment Expertise


Manulife Investment Management is honored to be recognized with awards across a broad range of asset classes, underscoring the depth of our capabilities and the consistency of our performance. These accolades affirm our client-first philosophy and our commitment to delivering consistent and high‑quality investment solutions. They also inspire us to keep raising standards as we partner with our clients and our teams to build a stronger, more resilient future for the industry.
 

Fund Selector Asia Awards 20261

Benchmark Fund of the Year Award 20242

Best-in-Class

House Awards – Greater China Equity
Relevant fund: Manulife Global Fund – China Value Fund

House Awards – High Yield Fixed Income
Relevant fund: Manulife Global Fund – Asian High Yield Fund

Top Mutual Fund Awards – USD Diversified Fixed Income
Manulife Global Fund – USD Income Fund

 

Outstanding Achiever

House Awards – Balanced Mixed Asset
Relevant fund: Manulife Global Fund – Global Multi-Asset Diversified Income Fund

House Awards – Global Fixed Income
Relevant fund: Manulife Global Fund – Preferred Securities Income Fund

Sustainability Awards – Best Equity ESG Integration
Relevant fund: Manulife Global Fund – Sustainable Asia Equity Fund

 

Manulife Investment Management’s capabilities 


Manulife Investment Management is the global wealth and asset management segment of Manulife Financial Corporation, drawing on more than 160 years of financial stewardship to serve clients worldwide. Our recognition reflects strengths we apply every day: systematic research, disciplined portfolio construction, and a client-focused approach to outcomes.

Within Manulife Investment Management is our award winning Multi-Asset Solutions Team (MAST) which offers a diverse range of strategies and asset classes, across a multi-asset spectrum, which are built to deliver client outcomes and designed for flexibility. MAST delivers flexible, outcome-driven multi-asset solutions across public and private markets, combining global investment breadth, advanced asset-allocation expertise, and strong Asia-based capabilities to meet diverse income, growth, risk, retirement, and institutional needs. Importantly, multi-asset solutions are one of several capabilities we deploy to help clients navigate complicated and ever-changing market environments.

What MAST delivers:

  • Outcome-driven multi-asset solutions addressing income generation, tactical opportunities, inflation protection, risk management, retirement objectives, and liability-aware strategies.
  • A broad investment universe across global equities, fixed income, alternatives, and private markets, including private credit, real estate, agriculture, and timberland, to build resilient, diversified portfolios.
  • A proprietary forecasting framework covering over 250 asset classes to support disciplined strategic and tactical asset allocation and improve risk-adjusted returns.
  • Flexible, customizable solutions delivered across institutional, insurance, retirement, and retail channels to align with each client’s unique goals and constraints.
  • Asia-based portfolio decision makers who pair regional insight with global perspective to serve clients across the Asia-Pacific region.
  • Backed by over 600 global investment professionals offering deep research , robust portfolio construction, and comprehensive risk oversight.

These capabilities, including breadth of markets, rigor in allocation, and a focus on client outcomes, are the foundations that have contributed to our industry recognition.
 

Read our latest Asset Allocation Views

 

Our investment insights

 

Beyond MAST, our platform spans specialist equity, fixed income, and private markets strategies designed to help hedge market ups and downs and adapt to different market situations, giving clients a diversified toolkit for resilience and long-term success.
 

View latest insights