Corporate bondsWhile M&G Investments has a reputation for innovation in the fixed income product arena, corporate credit remains our core capability. We pride ourselves on our expertise in this area, employing our large and experienced credit analyst team in sourcing the best investment opportunities in the market. Our institutional fund management team use this quality data along with detailed macro research to choose from the best options available when constructing and managing client portfolios.
The sterling non-gilt market is in the region of £458bn* in size and M&G’s fixed income business manages over £65bn* making us one of the largest investors in the sterling issues market in Europe.
While corporate bonds carry an element of risk, the market does present institutional investors with the chance to capitalise on higher yields than the relatively safe haven of government bonds.
M&G also manages a large number of pooled and segregated funds that invest in both government and corporate bonds, or combinations of both, depending on investor preferences.
*as at 30 September 2011
Visit our pooled funds website to find out more about our range of fixed income pooled funds.