At M&G Investments, we believe there are four key questions that investors should consider when investing in fixed income.
Uncertain market environments require a dynamic and flexible approach to effectively capture optimal income streams. Our global, flexible, and diversified bond fund, with a proven track record of over 17 years, invests in government, investment-grade corporate, and high-yield bonds. As an active bond house, we continuously adjust our bond exposure based on the current economic cycle, leveraging our in-house expert team and robust valuation framework.
Flexibility in different environments
Diversified across sectors and issuers
Actively managed, combining macroeconomic views and bottom-up security selection
Award winning fund with consistent long term performance
We are honored to receive the Best Fund Provider – Global Bond – Intermediate to Long Term award from Asian Private Banker. This recognition is a testament to our unwavering commitment to excellence and our ambition to consistently deliver value to our clients.
In this complex environment, flexibility and strategic thinking are crucial to managing risks and seizing opportunities.
Richard Woolnough
Fund Manager
Led by our two portfolio managers, who bring an average of 28 years of experience, we are supported by numerous investment professionals and one of Europe’s largest credit analyst teams. This larger and more experienced team has enhanced our ability to seize a growing number of global opportunities.
Fund Manager
Deputy CIO, Public Fixed Income
Source: M&G Investments, 30 June 2024.