Highly flexible portfolios from expert multi asset investors

M&G Multi Asset offers a suite of strategies that harness strategic and tactical asset allocation decisions to drive investment returns, backed by a long-standing team of multi asset investment professionals.

 

 

Our dynamic approach

We aim to help clients achieve optimal asset allocation throughout the market cycle using a dynamic approach that leverages our broad in-house investment research capabilities and deep macroeconomic expertise.

By applying behavioural finance theory to respond to market ‘episodes’ – periods when asset prices are overly influenced by investors’ emotional behaviour rather than long-term fundamental drivers of returns – means we can deliver a variety of solutions centred on diversified growth, income, capital preservation and sustainability.

0

Multi Asset investment professionals

0

Global presence across 26 markets

$ 0 bn

Assets under management (AUM)

Source: M&G Investments. AUM as of 30 June 2024. Investment professionals as of October 2024. Investment professionals include investment teams, fund managers’ assistants, investment specialists, director of investment strategy and investor relations.

Our multi asset solutions

Growing income and capital over market cycles using a flexible and diversified approach.

Our funds

Get a comprehensive overview
of our entire fund range.

View funds