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.

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Multi Asset investment professionals

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Global presence across 26 markets

$ 0 bn

Assets under management (AUM)

Source: M&G Investments, as of 31 December 2024. Investment professionals includes investment teams, fund managers’ assistants, investment specialists and a director of investment strategy.

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.

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