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Manulife Asset Management names Gary Li as MD and derivatives portfolio manager

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Manulife Asset Management has appointed Gary Li as a managing director and portfolio manager with responsibility for derivatives portfolios.

Li is based in Boston and reports to Barry Evans, president, North American asset management and chief investment officer, asset allocation.
 
"Gary is an experienced portfolio manager with deep expertise in derivatives, alternative asset analysis, asset allocation and risk. We are pleased to welcome him to our team," says Evans.
 
In his new role at Manulife Asset Management, Li helps manage approximately USD34bn in John Hancock wealth management portfolios, as well as developing and managing synthetic asset exposures inside certain asset allocation portfolios. He also is providing advisory and risk support to the firm's equity and fixed income portfolio managers with respect to their derivative positions.
 
Previously, Li was with MetLife Insurance Corporation as an assistant vice president and manager, derivatives risk management. Prior to that he was director of risk management and asset allocation for the South Carolina Retirement Investment Commission, and before that served as director, derivatives and alternative strategies for Wells Fargo Capital Management.

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