M&G is one of the world’s top 30 property investors*. As a global real estate solutions provider, we currently manage more than £33 billion of assets in real estate equity and more than £5 billion of real estate debt on behalf of our clients.
Decades of experience has shaped our approach to investing in properties, which focuses on identifying fundamentally well-located assets that are underpinned by favourable structural and demographic trends.
Promoting environmental excellence; health, wellbeing, and occupier experience; and a positive contribution to society are the core pillars that underpin our responsible approach to investing.
We have a history of innovating. Using our strength in origination of unusual or complex assets to find value in less competed areas of private markets such as real estate debt.
We also offer long income solutions for clients seeking stable, inflation-linked cashflows capable of matching long-term liabilities.
* IPE Top 100 Real Estate Investors 2020. AUM as at 30 June 2020 (equity including cash).
This core real estate strategy invests in a diversified portfolio of European commercial and residential property and seeks to add value through strategic asset allocation, stock selection and asset management.
This long-established strategy targets long-term capital appreciation and stable income growth, through investment in high quality real estate, in mature Asia Pacific markets.
The strategy targets income as the principal driver of long-term returns but also looks to achieve capital growth through strategic sector allocation, individual stock selection and the exploitation of perceived market mispricing.
This strategy seeks to deliver value-add returns across a diversified, income-producing portfolio of well-located UK real estate.
A specialist strategy targeting the UK Private Rented Sector (PRS), through the acquisition of standing investments and funding of new developments.
Our global capital solutions team offer a range of bespoke solutions to help clients meet their individual needs through segregated mandates, joint ventures and co-investment opportunities.
For real estate equity clients, their advisors and those in active due diligence only.
Real estate investment structured to offer long-dated, secured, typically inflation-linked income.
This long-term investment approach, which blends traditional fixed income and real estate investment, involves acquiring a property with a long-dated lease of 15 years or more linked to local or core European inflation measures.
This long-term investment approach, which blends traditional fixed income and real estate investment, involves acquiring a property with a long-dated lease of 20 years or typically more, usually linked to UK inflation.
A long-term investment strategy that aims to deliver regular inflation-linked income from investment grade rental cashflows in the UK.
Commercial mortgages secured on real estate assets
We invest in commercial mortgages secured against global real estate assets, with interest typically paid by rental income from the underlying properties. Senior debt, of investment grade quality, often has a first-ranking charge over the asset, ensuring that in any potential default scenario lenders have recourse to the underlying properties.
We invest in commercial mortgages secured against global real estate assets, with interest typically paid by rental income from the underlying properties.