x Why M&G?

The information on this website is intended only for institutional investors (as defined under the SFA).

The materials and any documents distributed together herein (the “Materials”) are being made available to a limited number of institutional investors as defined under the Securities and Futures Act, Chapter 289 of Singapore (the “SFA”) by M&G Investments for information. The Materials are confidential and may not be shown, copied, reproduced, re-transmitted, re-distributed, in whole or in part, or otherwise given to any person other than the authorised recipient without the prior written consent of M&G Investments. While care has been taken in the preparation of the Materials, M&G Investments makes no representation or warranty, whether express or implied, and accepts no responsibility for the accuracy or completeness or reliability of any statement in the Materials including, without limitation, any target returns, projections or other forward-looking statements. To the maximum extent permitted by law, M&G Investments expressly disclaims all or any liability which may arise out of the provision to or use by any person of the information contained herein.

The Materials have not been registered as a prospectus with the Monetary Authority of Singapore and the Materials do not constitute an advertisement or an offer for the issue sale or purchase of any securities or any recommendation in relation to investment in the subject matter of the Materials or any investment or other advice. The Materials provided in this website are provided solely for your information. The information in this website is qualified in its entirety by the terms therein. Nothing in this website shall constitute an offer to sell or a solicitation of an offer to buy or the calling to attention to the offer of the units of the collective investment schemes in any jurisdiction in which such offer sale or solicitation of an offer to buy or the calling to attention to the offer thereon is restricted prohibited or not authorised.

The Materials have been prepared for the purpose of providing general information without taking account of any particular investor's objectives, financial situation or needs. An investor should, before making any investment decisions, consider the appropriateness of the information in the Materials, and seek professional advice, having regard to the investor's objectives, financial situation and needs. The Information is not intended to be accounting, tax legal, financial, regulatory or any other form of professional advice and should not be relied upon in that regard.

M&G Investments or its associates or directors do not guarantee the performance of any investment or any particular rate of return referred to in the Materials. M&G Investments does not warrant or represent that the information, statements, opinions or conclusions contained in the Materials are accurate, reliable, complete or current. Past performance is not an indicator of future performance.

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We have seen an increase in the number of financial scams – including fraudulent websites attempting to harvest contact details from those accessing the site, and contacting them fraudulently purporting to represent M&G Investments.

Criminals are exploiting these times for their own gain using well planned, sophisticated methods in an attempt to catch you off-guard. Be extra vigilant and do not respond to any correspondence which you are unsure about. If in doubt, please contact us.


Why M&G?

M&G Investments is the asset management arm of M&G plc. We aim to help our clients meet their financial goals through long-term active investment management across a diversified range of asset classes.

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For further information about M&G’s institutional offering.

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For institutional investors:

  • Our Equity strategies offer the opportunity to invest in equity markets around the world with a range of products to match most risk profiles.
  • Our strength in Fixed Income provides access to a broad range of public and private debt assets including government bonds, corporate debt, asset-backed securities, multi-asset credit, illiquid credit, real estate debt, leveraged finance and project and infrastructure finance.
  • Our Multi-Asset team offers the opportunity to invest in a diversified portfolio across a range of assets and regions, while aiming to offer attractive levels of income.
  • Our Real Estate investment teams span the world, providing unique insight and opportunities to build a robust, value-driven, income-driven real estate portfolio.

As a responsible investor, we consider all of the factors that might materially affect long-term investment outcomes, including environmental, social and governance (ESG) issues. We incorporate these considerations into our investment decisions, wherever they may have a meaningful impact on risk or return.

Our philosophy

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.

Our strengths

We have an investment-led culture that is focused on the delivery of long-term returns for all of our clients through active fund management. We manage US$336 billion* worth of assets (including US$203 billion* on behalf of the M&G plc group) across fixed income, equities, multi-asset strategies and real estate, supported by over 400 investment professionals, including one of the largest and most experienced credit research teams in Europe.

Our analysts are supported every step of the way by expert fund managers, client service professionals and product development teams. This mix of experienced resources has enabled us to innovate successfully across a diversified range of asset classes and to produce strong investment performance.

*As at 30 June 2020

Our recent awards

  • Sustainable & ESG Investment Awards 2018 - Best New Entrant, M&G Impact Financing Fund
  • Financial News Awards 2018 - Multi Asset Manager of the Year
  • Insurance Asset Risk Awards 2018 - Fixed Income Manager of the Year
  • Pensions Age Awards 2018 - Alternative Manager of the Year
  • Insurance Asset Management Awards 2017- Fixed Income Manager of the Year
  • Professional Pensions Investment Awards 2017 - UK Fixed Income Manager of the Year award
  • Professional Pensions Investment Awards 2017 - Long Income Property Manager of the Year
  • Professional Pensions Investment Awards 2017 - Private Rented Sector Manager of the Year
  • Financial News Awards 2017 - Fixed Income Manager of the Year
  • FT Pensions Expert: Pension and Investor Provider Awards 2017 – Global Multi Asset Credit Manager of the Year
  • FT Pensions Expert: Pension and Investor Provider Awards 2017 – UK Fixed Income Manager of the Year
  • Insurance Investment Exchange Awards 2017 – Highly Commended for Fixed Income Manager of the Year
  • Pensions Age Awards 2017 - Fixed Income Manager of the Year
  • Professional Pensions Investment Awards 2016 – Multi Asset / Sector Credit Manager of the Year
  • Local Authority Pension Fund (LAPF) Investment Awards 2016 – Fixed Income Manager of the Year
  • 5th Annual Financial News Asset Management Award – Infrastructure Manager of the Year, Infracapital
  • European Pensions Awards 2016 – Property Manager of the Year
  • Scottish Property Awards 2016 – Property Funding Team of the Year
  • Pensions Age Awards 2016 – Property Manager of the Year

This advertisement has not been reviewed by the Monetary Authority of Singapore.
This website is intended only for Institutional Investors in Singapore.
Specifically, the information on these pages should not be used or relied upon by the public of Singapore or any other type of investor from any other jurisdiction.
The value of investments will fluctuate, which will cause fund prices to fall as well as rise and you may not get back the original amount you invested.