Our talented retail fixed income team is made up of expert fund managers and investment specialists. Members of the team have in-depth experience in all the major bond markets and are given the freedom to act on their convictions to express individual flair in their portfolios.
Our managers can draw on the rich resource of an expert team with over 90 credit analysts.
Investors often ask what type of environment is most favourable for bonds. In truth, there is no straightforward answer. It depends on the type of bonds.
The M&G Retail Fixed Interest team manages a wide range of bond funds. While each fund differs in terms of its specific investment strategy, they can be grouped into four categories, according to the environment that we consider to be the most conducive to its ability to perform. Our three flexible bond funds are designed to perform across different market environments.
The value of stockmarket 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.
Select one of the funds below to find out about its investment objective, share class availability and literature.