Equities

We take a conviction-led, long-term approach to investing in equities, built on a history of investment integrity, original thinking and innovation. Today our capabilities include actively managed and systematic strategies, and we are one of the highest-ranked asset managers for responsible and impact investing*.

Focused on fundamentals

As an active manager, we believe that company fundamentals, rather than economic cycles or market sentiment, drive share prices over time. The index is not our primary concern. Consequently, we focus on what really matters, understanding the fundamental value of the companies we invest in to deliver the best possible risk-return outcomes for our clients.

* ShareAction 2020 ranking. M&G placed ninth of 75 asset managers globally.

Global

Global dividend

This strategy invests in companies from around the world with potential for long-term dividend growth.

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Global strategic value

This strategy focuses on identifying shares in cheap or out-of-favour companies around the world that we believe are undervalued and likely to outperform the market over time.

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Global select

This strategy invests in quality, sustainable companies, primarily from developed markets. These companies have business models that are well-protected from competition, and an element of change helping to drive their value.

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Global themes

This strategy invests in companies from around the world that are beneficiaries of long-term themes arising from changes in economies, industries, and societies.

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Global listed infrastructure

This strategy invests in listed infrastructure companies from around the world that have the potential for long-term dividend growth.

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Global enhanced equity premia

We use a dynamic multi-factor equity approach to select stocks we expect to outperform the global equity market.

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Global maxima

This is a high conviction global equity strategy that invests in companies we expect to outperform the market, which are selected through supervised machine learning.  

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Positive impact

The aim of this strategy is to make long-term investments in companies from around the world that aim to generate a positive social and/or environmental impact alongside a financial return.

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Europe

European strategic value

This strategy invests in European companies that we assess to be mispriced, based on the underlying value of the business, in the expectation they will revert to a more appropriate valuation.

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Pan European select

This strategy invests in quality, sustainable companies from across Europe, including the UK. These companies have business models that are well-protected from competition, and an element of change helping to drive their value.

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Pan European select smaller companies

The strategy invests in quality, sustainable smaller companies, from the bottom third (by total market capitalisation) of all publicly listed stocks in Europe, including the UK.

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Asia

Asian equity

This strategy aims to deliver a return that is higher than that of the MSCI AC Asia Pacific ex Japan Index over any five-year period.

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Japan

This strategy aims to deliver a return that is higher than that of the MSCI Japan Index over any five-year period.

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Japan smaller companies

This strategy aims to deliver a return that is higher than its benchmark, the Russell/Nomura Mid-Small Cap Index over any five-year period.

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US

North American dividend

The strategy invests in US and Canadian companies with the potential for long-term dividend growth.

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North American value

This value strategy invests in cheap, out of favour US and Canadian companies that we assess to be mispriced.

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Emerging markets

Global emerging markets

This bottom-up, value-orientated strategy invests in companies from across all sectors and countries in emerging markets.

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Emerging markets income

This distinctive income-focused strategy invests in a combination of emerging market equities and corporate bonds, aiming to deliver an attractive, steady annual income and capital growth over the long term.

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