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Manulife Global Equity Diversified Income Feeder Fund

Designed for income and growth. Built for resilience.

At the core of the Manulife Global Equity Diversified Income Fund is a disciplined investment approach that combines growth, value, and income-oriented equities with active option strategies. By diversifying across sectors, geographies, and investment styles, the Fund seeks to deliver a balance of income and long-term growth potential while helping manage market volatility.​

 

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capital growth

Capital growth

Access the long-term growth potential of leading companies across globalequity markets.

 

Historical data indicates that equities generally offer higher capital growth potentialcompared to global bonds. Among various markets, U.S. equities have demonstratedparticularly strong performance over the past 3- and 5-year rolling periods. ​

Rolling returns of various asset classes Source: Bloomberg, Manulife Investment Management. Global equity measured by MSCI World index; US equity measured by S&P 500 index; Europe equity measured by MSCI Europe index; Asia ex Japan equitymeasured by MSCI Asia ex Japan index; Global Agg Bond measured by Bloomberg Global Aggregate index, data as of 31 December 2025. Rolling returns are calculated based on the index performance fromFebruary 2016 to December 2025. Past performance does not guarantee future results; indices are for illustrative purposes only and cannot be invested in directly.​
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Opportunity from volatility

Harness income-generating opportunities through active option strategiesdesigned to help manage market fluctuations.​

 

To enhance consistency, we integrate dual option strategies – including covered calls and collateralized puts – designed tokeep income as stable as possible. This holistic approach helps investors to achieve both income and growth in a single,well-structured solution.​

opportunity from volatility
income/growth potential

Reliable high distribution

Seek attractive and consistent income distribution potentialthrough a diversified portfolio of global equities​
reliable high distribution
elasticity across market cycles

Elasticity across market cycles

Adapt to changing market environments through a flexible multi-pillar investmentapproach spanning growth, value, income, and option strategies.​
elasticity across market cycles Source: Manulife Investment Management, as of 31 October 2025. The logos referenced above are registered trademarks of the respective firms represented. The securities described are for illustrative purpose only and do not constitute any investment recommendation or advice. It should not be assumed that an investment in these securities or equities was or will be profitable. ​

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