M&G Launches Two Sustainable Credit Strategies (2024)

Notes to editors

Open1,2,3,4

1 M&G European Credit Investment Fund has EUR 3,3 billion of AUM (as of 30 September 2021).
2 M&G Total Return Credit Investment Fund has EUR 2,5 billion of AUM (as of 30 September 2021).
3 The investment universe for the M&G Sustainable European Credit Investment Fund will be EUR-denominated investment grade corporate bonds / The investment universe for the M&G Sustainable Total Return Credit Investment Fund will be global corporate bonds
4 ESG laggards are issuers classified as ESG laggard based on MSCI (ESG rating of B or CCC) unless our in-house ESG assessment takes a different view.

OpenAbout Gaurav Chatley

Gaurav joined M&G Investments in 2005 as an assistant fund manager in the fixed income team. He became a Credit Fund Manager, managing a range of institutional corporate bond funds, in 2006. Prior to joining M&G, Gaurav worked for London and Capital Asset Management as an investment analyst, with responsibility for the analysis of quantitative investment strategies. Gaurav graduated from the London School of Economics with a MSc. in Finance and Economics and holds a degree in Mathematics and Scientific Computing from the Indian Institute of Technology. He is a CFA charterholder.

OpenAbout Richard Ryan

Richard joined M&G Investments in 2001 and is a senior credit fund manager looking after Pan European credit strategies, absolute return strategies and fixed income asset allocation. Prior to joining M&G, Richard worked for Nomura Asset Management as an institutional fixed income fund manager. Before this, he worked for Dresdner Kleinwort Benson in the Credit Products Group trading corporate bonds. Richard graduated from Southampton University with a degree in Economics.

OpenM&G’s ten point sustainability plan

M&G's ten point sustainability plan, published in May 2021

  1. Develop a pathway to net zero 2050
  2. Integrate ESG into investments and accelerate engagement
  3. Grow the Planet+ fund range
  4. Set standards in sustainability and ESG policies
  5. Set standards in disclosure and measurement
  6. Help customers and their advisers to understand opportunities, risks and outcomes of sustainable investing
  7. Lead collective action to deliver change
  8. Develop pathway to net zero 2030 and set an example in corporate sustainability practices

OpenAbout M&G Investments

M&G Investments is part of M&G plc, a savings and investment business which was formed in 2017 through the merger of Prudential plc’s UK and Europe savings and insurance operation and M&G, its wholly owned international investment manager. M&G plc listed as an independent company on the London Stock Exchange in October 2019 and has €431 billion of assets under management (as at 30 June 2021). M&G plc has over 5 million customers in the UK, Europe, the Americas and Asia, including individual savers and investors, life insurance policy holders and pension scheme members.
For nearly nine decades M&G Investments has been helping its customers to prosper by putting investments to work, which in turn creates jobs, homes and vital infrastructure in the real economy. Its investment solutions span equities, fixed income, multi asset, cash, private debt, infrastructure and real estate.

M&G recognises the importance of responsible investing and is a signatory to the United Nations Principles for Responsible Investment (UNPRI) and is a member of the Climate Bonds Initiative Partners Programme.

M&G plc has committed to achieve net zero carbon emissions on its total book of assets under management and administration by 2050 and committed to reduce operational carbon emissions as a corporate entity to net zero by 2030.

OpenDisclaimer

This press release reflects the authors’ present opinions reflecting current market conditions; are subject to change without notice; and involve a number of assumptions which may not prove valid. It has been written for informational purposes only and should not be considered as investment advice or as a recommendation of any particular security, strategy or investment product. Past performance is not a guide to future performance.

Information given in this document has been obtained from, or based upon, sources believed by us to be reliable and accurate although M&G does not accept liability for the accuracy of the contents.
This document does not constitute investment advice or an offer to invest or to provide discretionary investment management services.
Before subscribing you should read the Prospectus, which includes a description of the investment risks relating to these funds. Please read the KIID before making a decision to invest. The information contained herein is not a substitute for independent investment advice.

This information is intended for journalists and media professionals only. It should not be relied on by private investors or advisers. Not for marketing purposes. Issued by M&G International Investments S.A.. Registered Office: 16, boulevard Royal, L 2449, Luxembourg.

M&G Launches Two Sustainable Credit Strategies (2024)
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