A truly global multi-asset income solution
A differentiated approach of achieving yield
Learn moreStrive for high income potential via multiple sources
Learn moreIncome investing can provide a wide spectrum of yield and risk profiles
Learn moreAim to generate a stable yield while emphasising downside protection
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To strive for a sustainable long-term income distribution, our strategy adopts a differentiated approach of achieving yield, minimising reliance on equity appreciation – primarily seeking yield through fixed income and an option writing strategy.
Performance of the strategy is not guaranteed and losses remain possible.
The approach and strategy stated here are those used by the Manulife Global Fund - Global Multi-Asset Diversified Income Fund which is the Target Fund of Manulife Global Multi-Asset Diversified Income Fund (“the Fund”). The Fund will invest at least 95% of its net asset value in Share Class I3 Inc of the Target Fund.
For a sustainable long-term income strategy, we strive to achieve higher natural yields (the cash generated from invested income sources) in order to minimise the need to rely on drawing from capital gains or principal capital.
Performance of the strategy is not guaranteed and losses remain possible.
The approach and strategy stated here are those used by the Manulife Global Fund - Global Multi-Asset Diversified Income Fund which is the Target Fund of Manulife Global Multi-Asset Diversified Income Fund (“the Fund”). The Fund will invest at least 95% of its net asset value in Share Class I3 Inc of the Target Fund.
Income investing has expanded beyond traditional income sources in the past decade and is now tapping into non-traditional sources with the aim to generate income.
The tactical use of option-writing is key to our global multi-asset diversified income approach as it may provide a steady income stream potential in both up and down markets.
Option premium collected tends to increase with market volatility, which should be particularly rewarding during periods of market drawdown, when capital payout capabilities may be hampered.
Historical data shows that equity option strategies saw shallower drawdowns than the broad equity market during several market corrections since 2000.
The above information may contain projections or other forward-looking statements regarding future events, targets, management discipline or other expectations. There is no assurance that such events will occur, and the future course may be significantly different from that shown here. Past performances are not an indication of future performances. Performance of the strategy is not guaranteed and losses remain possible.
The approach and strategy stated here are those used by the Manulife Global Fund - Global Multi-Asset Diversified Income Fund which is the Target Fund of Manulife Global Multi-Asset Diversified Income Fund (“the Fund”). The Fund will invest at least 95% of its net asset value in Share Class I3 Inc of the Target Fund.