The M&G European Property Fund is an open-ended core fund investing in a diversified portfolio of commercial real estate across Europe.
The fund has a portfolio of 45 assets with a gross asset value (GAV) of €2.487 million (as at 30 June 2017). It seeks to maximise long-term total returns (the combination of income and capital growth) through strategic asset allocation, stock selection and asset management.
Management and structure
The Fund Management team of David Jackson and Simon Ellis together have more than 40 years of experience in UK and international commercial property investment. They have established a well-recognised track record for investing successfully in Europe.
David and Simon are supported by our specialist in-house transaction management team and the Global Property Research Team.
Asset Management
Located across Europe, our dedicated asset managers oversee and manage our real estate assets across Continental Europe, as well as source suitable investment opportunities. The team’s role is to manage real estate assets across Continental Europe, as well as source suitable investment opportunities.
Additionally, the fund has engaged Cushman & Wakefield Investors (CWI) to provide bespoke direct asset management strategy advice and access to its research.