Ep.182 - PM Soundbyte with Paul Moroz (Nov. 3/16)
Paul provides an overview of the Manulife Global Equity Class and discusses holdings added over the last quarter.

Paul provides an overview of the Manulife Global Equity Class and discusses holdings added over the last quarter.
Steve Stubitz, portfolio manager of the Manulife Global Infrastructure Fund, discusses the fund’s investment in water infrastructure.
Sandy provides an update on the U.S. economy and discusses how the Manulife Strategic Balanced Yield Fund and Manulife U.S. All Cap Fund is positioned.
Conrad discusses the current focus of the Manulife Dividend Income Fund.
Jonathan discusses the Manulife U.S. Monthly High Income Fund.
Chuck discusses the 4 risks in the global fixed income market: Interest rate risk, credit risk, foreign currency risk, and liquidity risk. He discusses how the Manulife Strategic Income Fund is positioned in current market conditions.
Susan provides an update on the market and discusses positioning and outlook for the Manulife Canadian Monthly Income Fund.
Paul provides an overview of Brexit, the risks to the UK and how it relates to the Manulife Global Equity Class.
Mike discusses the current market and the positioning of the Manulife Strategic Balanced Yield Fund.
Jonathan discusses the Manulife U.S. Monthly High Income Fund.
Steve provides a market update and discusses new positions in the Manulife Global Equity Unconstrained Fund.
Doug provides an update on the Manulife Global Dividend Fund and Manulife Global Strategic Balanced Yield Fund.
Terry provides a market update and discusses the position and outlook on the Manulife Yield Opportunities Fund.
Conrad discusses the current focus of the Manulife Dividend Income Fund.
Steve provides an update on the market and discusses positioning and outlook for the Manulife Canadian Monthly Income Fund.
Chuck discusses the 4 risks in the global fixed income market: Interest rate risk, credit risk, foreign currency risk, and liquidity risk. He discusses how the Manulife Strategic Income Fund is positioned in current market conditions.
Steve Stubitz, Product Specialist for the Manulife Global Infrastructure Fund, discusses the three drivers for the gas utilities sector in the United States.
Jonathan discusses the Manulife U.S. Monthly High Income Fund.
Steve provides a market update and discusses new positions in the Manulife Global Equity Unconstrained Fund.
Doug provides an update on the Manulife Global Dividend Fund and Manulife Global Strategic Balanced Yield Fund.
Sandy provides an update on the U.S. economy and discusses how the Manulife Strategic Balanced Yield Fund is positioned.
Terry provides a market update and discusses the position and outlook on the Manulife Yield Opportunities Fund.
Susan provides an update on the market and discusses positioning and outlook for the Manulife Canadian Monthly Income Fund.
Chuck discusses taking a more defensive stance within the Manulife Strategic Income Fund.
Conrad discusses the current focus of the Manulife Dividend Income Fund and its position entering into Q4 earnings season.
Mike discusses the current market and the positioning of the Manulife Strategic Balanced Yield Fund.
Conrad discusses the Manulife U.S. Monthly High Income Fund.
Marie-Eve provides an update on the market and discusses positioning and outlook for the Manulife Canadian Monthly Income Fund.
Paul provides a market overview for global equity markets and discusses positioning and outlook for the Manulife Global Equity Class.
Larry Antonatos, Portfolio Manager for the Manulife Global Infrastructure Fund, discusses cellphone towers, their characteristics as infrastructure assets, and the three factors currently driving their revenue growth.