Fixed-income investors should look to fixed income strategies like corporate credit and mortgage-backed securities-related exchange traded funds that can help better adapt to rapidly changing market conditions.
In a rising interest rate environment, many investors struggle to properly balance their fixed income portfolios to provide real diversification while still maintaining income generation.
Manulife Investment Management adds portfolio manager to Core and Core Plus Bond strategies to sustain and build on recent growth
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BOSTON, April 8, 2021 /PRNewswire/ - After an extensive review and selection process, Manulife Investment Management is pleased to announce the addition of Pranay Sonalkar to the portfolio management team for the Core and Core Plus Fixed-Income strategies. Pranay joins Howard C. Greene, CFA, and Jeffrey N. Given, CFA both 25-plus-year industry veterans as an associate portfolio manager on the strategies, including subadvised management of several John Hancock funds such as: John Hancock Bond Fund, John Hancock Investment Grade Bond Fund and John Hancock Corporate Bond ETF.
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