As pioneers of the UK’s first mutual fund in 1931 we’ve built an equities business and reputation around investment integrity, original thinking and innovation.
Today our capabilities span actively managed and systematic strategies and we are one of the highest-ranked asset managers for responsible and impact investing1.
As active investors, we take a conviction-led, long-term approach to investing in equities. We believe company fundamentals, rather than economic cycles or market sentiment, drive share prices over time.
We aim to deliver the best returns to investors seeking capital growth and income through active management.
Our culture combines flair and discipline for the purpose of delivering the best possible risk-return outcomes for our clients.
The value and income from a fund’s assets will go down as well as up. This will cause the value of your investment to fall as well as rise and you may get back less than you originally invested.
Equity strategies that seek to deliver income, investing globally, regionally or in specific markets
Equity strategies focusing on growth, investing globally, regionally or in specific markets
Equity strategies that seek opportunities, globally, regionally or in specific markets using a value
Equity strategies designed to deliver an ESG objective or ESG-related outcome, or are managed in accordance with ESG criteria applied within the investment strategy
1 ShareAction 2020 ranking. M&G placed ninth of 75 asset managers globally.
* At lest 25% invested in fixed income