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Manulife Investment Management vs TSG Consumer Partners

A side-by-side comparison of Manulife Investment Management and TSG Consumer Partners across firm type, scale, strategy, and geography.

Scale comparison

Manulife Investment ManagementCAD 1.11T
TSG Consumer Partners$14.25B
Insight

Manulife Investment Management manages roughly 77.9× the assets of the other firm.

Asset-class exposure

Private Equity
Private Credit
Real Estate
Fixed Income
Left bar: Manulife Investment ManagementRight bar: TSG Consumer Partners
Insight

No overlapping asset classes — these firms operate in entirely separate markets.

Key observations

  • • Manulife Investment Management is the largest by AUM at $1.11T — 77.89× TSG Consumer Partners ($14.25B).
  • • Manulife Investment Management is the most established (founded 1980), 7 years before TSG Consumer Partners (1987).
  • • Manulife Investment Management has the broadest mandate — active across 4 asset classes vs 1 for TSG Consumer Partners.
  • • All 2 firms invest in Private Equity.
  • • Manulife Investment Management is the only one here in Private Credit & Real Estate, +1 more.
  • • Each firm is in a different country: Canada, United States.
  • • Manulife Investment Management's network is more connected (57/100 vs 32/100), indicating broader relationship diversity.
  • • Overall similarity is 15%, driven by 1 shared asset classes, 40% geo overlap.
15%Similarity score1 shared asset classes · 40% geo overlap
Manulife Investment ManagementTSG Consumer Partners
Basics
Firm typeAsset ManagerAsset Manager
CountryCanadaUnited States
Founded19801987
Firm age46 yrs39 yrs
RolesLpGp
Scale & AUM
AUMCAD 1.11T$14.25B
Market positionMega ($500B+)Mid ($5–20B)
AUM ratio77.9× larger
Strategy & Focus
Investment styleMulti-assetprivate equity-focused
DiversificationDiversifiedFocused
Asset classesprivate equity, private credit, real estate, fixed incomeprivate equity
Shared asset classes1: private equity
Geography
Geographic biasNorth AmericaNorth America
RegionsNorth America, Europe, Asia, GlobalNorth America, Europe
Shared geographiesNorth America, Europe, North America
Fund Portfolio
Published funds01
Largest fund—TSG Consumer Partners IX, L.P.
Vintage range—2023
Fund statuses—Fundraising (1)
Team
Team-to-AUM ratio0.0 per $B0.0 per $B
Network & Relationships
Connectivity57/10032/100
Network strength17/1002/100
Relationships133
Relationship densityModerateLow
Network maturityEmergingEmerging
Similarity
Overall similarity15%
Asset class overlap25%
Geography overlap40%

Frequently asked

What is the difference between Manulife Investment Management and TSG Consumer Partners?

Manulife Investment Management is a asset manager based in Canada, while TSG Consumer Partners is a asset manager based in United States. This page compares their firm type, assets under management, strategies, and geographic focus.

Which is larger, Manulife Investment Management or TSG Consumer Partners?

By reported AUM, Manulife Investment Management is larger (CAD 1.11T vs $14.25B).

Manulife Investment Management profile →TSG Consumer Partners profile →

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