To find out more, tell us who you are:

Advisers Discretionary Wealth Private Investors

M&G Global Emerging Markets Fund

Maximise long-term income with the M&G Global Emerging Markets Fund, available as an ISA, Junior ISA, Savings Plan or OEIC.

The fund manager aims to deliver performance by focussing on the global emerging markets sector.  The fund will invest in emerging markets which tend to have larger price fluctations than more developed countries.  The fund may encounter difficulties when buying and selling these instruments or converting the proceeds of a sale or any other income earned back into the base currency of the fund. It offers an exciting opportunity to invest in companies that capture significant potential driven by economic development in these regions.

The long-term investment approach means that the fund manager, Michael Vaight, can focus on understanding the ethos of the companies he chooses to invest in.

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. Past performance is not a guide to future performance. Please be aware, your investment may increase or decrease as a result of currency fluctuations. This fund provides a variable level of income.

Why choose the M&G Global Emerging Markets Fund?

  • ReasonIcon
    Offers an exciting opportunity to invest in well-run companies that can capture the significant potential driven by economic development in these regions.
  • ReasonIcon
    An active, unconstrained approach gives the fund manager the greatest flexibility in searching for potential investment ideas.
  • ReasonIcon
    A distinctive, proven process that selects stocks with four different characteristics to drive return on capital enables the fund to perform in every market condition.

Fund Management Team

FundManagerImage
SecondSpecialistImage Robert Secker Adviser
Matthew Vaight Fund Manager

The M&G Global Emerging Markets Fund Investment aim and policy

The fund invests primarily in the securities of companies domiciled in or conducting the major part of their economic activity in emerging market countries*.  Exposure to these securities may be gained through the use of derivatives.

*The current reference point for defining emerging market countries is those included within the MSCI Emerging Markets Index and/or those included in the World Bank definition of developing economies as updated from time to time.

View less View more

Wide ranging approach to investing

The M&G Global Emerging Markets Fund may invest across a wide range of geographies, sectors and market capitalisations. 

The fund may also invest in other assets including collective investment schemes, other transferable securities, cash and near cash, deposits, warrants, money market instruments and cash derivatives.

View less View more

Key Information*

  • KeyInformationImage
    Fund Manager
    Matthew Vaight
  • KeyInformationImage
    Launch date
    5 February 2009
  • KeyInformationImage
    Fund size (millions)

    £1,685.74

     

     

  • KeyInformationImage
    Comparative sector
    IMA Global Emerging Markets sector
  • KeyInformationImage
    No. of holdings
    61
  • KeyInformationImage
    Product availability
    ISA, Savings Plan, OEIC, Junior ISA
  • KeyInformationImage
    Nominated OEIC Share Class
    Sterling Class A
  • KeyInformationImage
    Share Type
    Acc & Inc

Fund ratings**

  • Morningstar RatingFundRatingImage
  • Morningstar OBSR RatingFundRatingImage
  • Citywire Manager RatingFundRatingImage

Ratings should not be taken as a recommendation - all ratings as at 31 July 2014.

About M&G

Since M&G was established in 1931, we have firmly believed in offering our customers straightforward products, together with clear and balanced information to help them make the right investment decisions for their needs.

Now, 80 years later, we are one of the largest active investors in the UK. We remain at the forefront of investment thinking, constantly seeking to develop our funds and product range to provide the best investment opportunities for our customers.

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. Past performance is not a guide to future performance. Please be aware, your investment may increase or decrease as a result of currency fluctuations. This fund provides a variable level of income.

*M&G fund details correct as at 31 July 2014.

**Copyright © 2012 by McGraw-Hill international (UK) Limited (S&P), a subsidiary of The McGraw-Hill Companies, Inc. All rights reserved. Morningstar OBSR Analyst Rating™ Source: Morningstar. All Rights Reserved. Citywire, All Rights Reserved.

 

 

View less View more

Details about this fund including fund performance and payment information are available for: