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Insights and market news

For insights, thought leadership and market commentaries straight from the fund management floor. Some of the views expressed on this page are from third parties and should not be taken as M&G's views.


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2019 JUN

Fund updates

Juan Nevado & Craig Moran


Q&A with Fund Managers Juan Nevado & Craig Moran

Over the longer term, the M&G (Lux) Dynamic Allocation Fund and M&G (Lux) Conservative Allocation Fund have generated robust returns. However, we acknowledge that near-term performance has been challenging. In this note, Fund Managers Juan Nevado and Craig Moran discuss market volatility during May and explain why fundamental indicators convince them to continue to back the strong valuation signals.

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2019 MAY

Thought leadership

Maria Municchi


M&G (Lux) Sustainable Multi Asset Fund - Government bonds in sustainable investing

How is investment in government bonds compatible with an ESG approach?

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Fund updates

M&G Investments


High yield bonds – the power of income

High yield bonds’ powerful income-generating qualities have helped drive strong investment returns over the long term. With evidence that we have entered a structurally lower-default world, we think the asset class remains an attractive source of income and well-placed to generate further robust returns over the coming years. We believe M&G, with long-running expertise in high yield investing and relying on an in-house team of credit analysts, is well-positioned to capture the compelling opportunities that can be found across high yield bonds.

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Luxembourg fund migration programme

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2019 FEB

James Tomlins & Stefan Isaacs


M&G (Lux) Global High Yield ESG Bond Fund: Investment review 2018

- Since its launch in October 2017, the fund has made encouraging progress, both from an ESG and an investment performance perspective.

- The fund has consistently achieved an average ESG score higher than the global high yield bond market.

- Against a challenging market backdrop, the fund has demonstrated resilience and was able to outperform the global high yield bond sector.

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