A side-by-side comparison of Aegon Asset Management and Manulife Investment Management across firm type, scale, strategy, and geography.
Manulife Investment Management manages roughly 3.9× the assets of the other firm.
No overlapping asset classes — these firms operate in entirely separate markets.
| Aegon Asset Management | Manulife Investment Management | |
|---|---|---|
| Basics | ||
| Firm type | Asset Manager | Asset Manager |
| Country | Netherlands | Canada |
| Founded | 1983 | 1980 |
| Firm age | 43 yrs | 46 yrs |
| Roles | Gp | Lp |
| Scale & AUM | ||
| AUM | EUR 287.5B | CAD 1.11T |
| Market position | Giant ($100–500B) | Mega ($500B+) |
| AUM ratio | 3.9× larger | |
| Strategy & Focus | ||
| Investment style | Multi-asset | Multi-asset |
| Diversification | Broad | Diversified |
| Asset classes | ||
Aegon Asset Management is a asset manager based in Netherlands, while Manulife Investment Management is a asset manager based in Canada. This page compares their firm type, assets under management, strategies, and geographic focus.
By reported AUM, Manulife Investment Management is larger (EUR 287.5B vs CAD 1.11T).
| private equity, private credit, real estate, infrastructure, fixed income |
| private equity, private credit, real estate, fixed income |
| Shared asset classes | 4: private equity, private credit, real estate, fixed income |
| Geography | ||
| Geographic bias | Europe | North America |
| Regions | Europe, Global, North America, Europe | North America, Europe, Asia, Global |
| Shared geographies | Europe, Global, North America | |
| Team | ||
| Total contacts | 2 | 0 |
| Team-to-AUM ratio | 0.0 per $B | 0.0 per $B |
| Network & Relationships | ||
| Connectivity | 8/100 | 0/100 |
| Network strength | 1/100 | 0/100 |
| Relationships | 1 | 0 |
| Relationship density | Moderate | Moderate |
| Network maturity | Emerging | Emerging |
| Similarity | ||
| Overall similarity | 36% | |
| Asset class overlap | 80% | |
| Geography overlap | 60% | |