Manulife Investment Management has approximately $394 billion in assets under management as of September 30, 2019. In terms of region, The company#39;s portfolio is tilted towards the US with a 52 percent exposure, followed by 25 percent exposure to Asia, 21 percent to Canada and the balance 2 percent to Europe.How to protect and exponentially Grow your investment portfolio during economic boom or bust, How learn stock market, How to earn money in stock market,earn money from home .
Manulife Investment Global CIO Chris Conkey recommends Indian investors to diversify in global markets
Manulife Investment Management has approximately $394 billion in assets under management as of September 30, 2019. In terms of region, The company#39;s portfolio is tilted towards the US with a 52 percent exposure, followed by 25 percent exposure to Asia, 21 percent to Canada and the balance 2 percent to Europe.
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