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Audience

Literature

  • M&G Global Floating Rate High Yield Fund - Quarterly Review PDF
  • M&G Global Floating Rate High Yield Fund - GBP - I-H Acc - Costs and charges illustration PDF
  • M&G Global Floating Rate High Yield Fund - Sterling I-H Acc - Factsheet - (UK) PDF
  • M&G Global Floating Rate High Yield Fund - GBP - I-H Acc - Key Investor Information Document (UK) PDF
  • M&G Global Floating Rate High Yield Fund Sterling I-H Acc - Monthly Fund Review PDF
  • M&G Global Floating Rate High Yield Fund - Fund Profile PDF
  • M&G Global Floating Rate High Yield Fund - Annual Short Report PDF
  • M&G Global Floating Rate High Yield Fund - Interim Short Report PDF
  • M&G Investment Funds (7) - Annual Long Report PDF
  • M&G Investment Funds (7) - Interim Long Report PDF
  • M&G Investment Funds (7) - Instrument of Incorporation PDF
  • Guide to Fixed Income PDF
  • M&G Investment Funds (7) - Prospectus PDF

Fund team

Fund manager tenure from 11/09/2014
James Tomlins joined M&G in June 2011 and was appointed fund manager of the M&G European High Yield Bond Fund later that year. In January 2014, he became co-manager of the M&G Global High Yield Bond Fund, after two years as deputy manager on the fund. James has also managed the M&G Global Floating Rate High Yield Fund since its launch in September 2014 and is co-fund manager of the M&G (Lux) Floating Rate High Yield Solution, launched in August 2017 and the M&G (Lux) Global High Yield ESG Bond Fund, launched in October 2017. James has more than 10 years experience in high yield credit. He was previously an analyst and then a fund manager at Cazenove Capital Management. Before Cazenove, James was at KBC Alternative Investment Management; in the three years prior to that, he worked at Merrill Lynch Investment Managers. James is a CFA charterholder. He graduated with an MA in history and PgDip in economics from the University of Cambridge.
Stefan Isaacs is Deputy Head of M&G's Wholesale Fixed Income team for M&G's mutual fund range. He joined M&G as a graduate in 2001 and was subsequently promoted to corporate bond dealer specialising in high yield bonds and euro-denominated credit. Stefan joined the fund management team in 2006 and was appointed fund manager of the M&G European Corporate Bond Fund in April 2007 and the M&G Global High Yield Bond Fund in October 2010. He is co-fund manager of the M&G (Lux) Floating Rate High Yield Solution, launched in August 2017 and the M&G (Lux) Global High Yield ESG Bond Fund, launched in October 2017. Stefan is also deputy fund manager of the M&G Optimal Income Fund, the M&G European High Yield Fund and the M&G Global Floating Rate High Yield Fund.
Ana Gil joined M&G in 2012 as an associate investment specialist covering M&G’s fixed interest fund range. Prior to working at M&G, Ana was initially an analyst at HSBC Private Bank, and then joined HSBC Global Asset Management as part of the institutional sales team. She holds a bachelor's degree in law and finance from Pontificia Comillas University (ICADE) in Madrid and is a CFA charterholder. Ana is fluent in Spanish, English and Italian.

How to Invest

BY TELEPHONE

Account & dealing Enquiries

0800 328 3196


(08:00 - 18:00 weekdays)

Financial Adviser Helpline
Post Sales Enquiries

0800 328 3191

(08:00 - 18:00 weekdays)

BY EMAIL

Pre sales direct clients: advisorysales@mandg.co.uk
Post sales: info@mandg.co.uk

When you contact us by email, we strongly recommend that you do not include any sensitive information (including your client's reference number) to protect the security of you and your client. We aim to respond to all emails within three business days.

Email us

BY POST

M&G Customer Relations
The M&G Group
PO Box 9039
Chelmsford
CM99 2XG

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The value of the fund's assets will go down as well as up. This will cause the value of your investment to fall as well as rise and you may get back less than you originally invested.
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