M&G Investment Funds

M&G is a leading international asset manager, known for its long-term and conviction-led approach to investing. They have been an active manager of investments for individual and institutional clients for over 80 years. Today they manage assets in excess of £247bn (as at 30 September 2015) in equities, multi-asset, fixed income, real estate and cash for clients across Europe and Asia.

M&G Investment funds

With in-depth knowledge and experience of all the principle asset classes, M&G offer a range of investment solutions. Find out about some of their funds, including their objectives, methods and fund managers, by visiting the links below. Find out more about M&G by visiting their featured fund manager page.

M&G Episode Income Fund: The fund seeks to deliver an attractive level of income that grows over time by investing globally in a diverse range of assets. The level of income may vary over time. Subject to this, the fund aims to provide capital growth over the long term.

M&G Global Emerging Markets Fund: An equity fund invested in publicly listed companies throughout Asia, Latin America and EMEA (Europe, Middle East and Africa) or companies that conduct the majority of their business activities in these regions.

M&G Optimal Income Fund: The M&G Optimal Income Fund is a flexible bond fund, allowing investment across a broad range of fixed income assets according to where the fund manager identifies value.

M&G Recovery Fund: Invests in companies that are out of favour with the stockmarket where a good management team is making concerted efforts to turn the business around. The fund manager takes a long-term view with a typical holding period of five years or more and aims to provide a diversified portfolio of up to 100 stocks.

The value of investments and any income you take from them can go down as well as up. The value of your investment cannot be guaranteed and the final value will depend on the performance of your investment.