Our active management approach aims to deliver outperformance regardless of market conditions. We believe that this is underpinned by detailed credit analysis and our fund managers’ ability to act with conviction.
At M&G, our portfolios are managed within a robust framework of construction and risk management, helping us to achieve the right balance between risk and return.
We have developed a strong culture that is built on ensuring that we are considered a trusted partner by delivering investment strategies that are client centric. Trusted relationships are the cornerstone of our value-based, long-term investment approach, which we achieve through our expertise and innovative investment ideas.