M&G Global Macro Bond Fund
Jim Leaviss
Fund manager: Jim Leaviss
Products available: ISA & OEIC
The Fund’s objective is to maximise long term total return (the combination of income and growth of capital).
The Fund invests mainly in debt instruments on a global basis which include, but are not limited to, variable rate Securities, fixed interest securities, sovereign debt and corporate debt. The Fund’s exposure to debt instruments may be gained through the use of derivatives. The Fund may also invest in other assets including collective investment schemes, money market instruments, cash and near cash, deposits, other transferable securities and derivatives.
Jim Leaviss joined M&G in 1997. He is a fund manager and head of retail fixed interest. After graduating in 1992, Jim joined the Bank of England as an analyst of monetary statistics and PSBR. He later moved within the Bank to become a gilt and money market trader, a position he occupied for three years. Jim graduated from Manchester University with a BA in economics. He is a member of UKSIP.
In addition to the fund data that can be found by accessing the menu to the left of this page you may also wish to read the fund key features document which contains further fund information.