The information in this site is intended for Swiss institutional investors only.

The information contained in these pages must not be used or relied upon by private investors. We recommend that you read our 'Terms & Conditions' before browsing the site.

Please refer to the following information on M&G Real Estate funds.

Please click submit to confirm that you are a Swiss institutional investor and wish to continue.


Why M&G?

M&G Investments is the UK and European asset management arm of Prudential plc. We manage investments on behalf of both institutions and the life and annuity funds of our parent company. Our aim is to help our clients meet their financial goals through long-term active investment management across a diversified range of asset classes.

The value of investments will fluctuate, which will cause prices to fall as well as rise and investors may not get back the original amount they invested.

Contact us

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

Contact us Contact us

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 looks to offer the opportunity to diversify their 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 strengths

We are proud to 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 €295 billion* worth of assets (including €132 billion* on behalf of our parent company) 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. They have the scale and expertise to offer tailored investment solutions across a wide range of risk and return requirements, for pension funds, sovereign wealth funds, insurance companies and other large investors.

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 31 December 2018

Our philosopy

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 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
Cyveillance Protected

For institutional investors only. Not for onward distribution to any other type of client. No other persons should rely on the information contained on this website.