A blend of art and science in a diversified asset allocation portfolio

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  • เผยแพร่เมื่อ 13 พ.ย. 2019
  • Portfolio Manager Michael Scanlon outlines the unique investment process of John Hancock Balanced Fund and a team approach to asset allocation that seeks to add alpha at each step of the way, from bottom-up equity and fixed-income security selection to top-down macroeconomic insight and holistic risk management.
    To learn more about the strategy, go to bit.ly/2Pw6qd6.
    At John Hancock Investment Management, our unique multimanager approach to investing enables us to provide a diverse lineup of offerings backed by some of the world’s best managers, along with strong risk-adjusted returns across asset classes-from equities to fixed income to alternative investments. Learn more at: bit.ly/34h0qsC.

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