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There are 57 item(s) tagged with the keyword "M&G Investments".

Displaying: 1 - 10 of 57

Does corruption perception matter to investors?

It's not lost on any investor that nearly half the world's population is set to participate in elections this year, with a select few anticipated to significantly alter a country's trajectory. With this in mind, we ask, do corruption perception trends matter to investors?

Tags: M&G Investments, Fixed Income
Nature and biodiversity series: Water and sanitation solutions

Our nature and biodiversity insights series covers a range of topics that are central to solving the nature and biodiversity crisis, while highlighting the opportunities for investors to make positive contributions. In this article, Adam Pinfold, Michael Rae and Ben Constable-Maxwell consider the risks of our current unsustainable water use, alongside some of the potential solutions.

Tags: M&G Investments, Sustainable Investing
Actively seeking long-term opportunities in Asia

2023 was tough for Asian equities. Investor sentiment was kept in check by the Fed’s ongoing interest rate rises and the strength of the US dollar.

Tags: Asia equities, M&G Investments
Quarterly Equities and Multi Asset Outlook – Q1 2024

Energy transition: Beyond renewables

Tags: equities, M&G Investments
M&G SMA Celebrating 3 years of sustainable multi-asset investing
Tags: M&G Investments
Corporate bonds: the risk now seems to pay well

Just a few months ago, you had to take great care with bonds in a context of inflation. But now investors should be opting for this asset class, says Stefan Isaacs, Deputy CIO Public Fixed Income at M&G.

Tags: M&G Investments, Fixed income, Inflation
The Investment Podcast - Dissecting the fallout from the gilt crisis

Just over a year has passed since the gilt market turmoil of September 2022, sparked by the UK government’s so-called ‘mini-budget’. The fallout from the crisis, as the pound fell and gilt yields spiked, prompted an emergency intervention by the Bank of England to restore orderly market conditions against a global backdrop of high inflation and rising interest rates. A significant change in asset class demand dynamics ensued as pension funds sought to meet collateral calls for their LDI mandates.

Tags: M&G Investments, Listen, Fixed income
Quarterly Equities and Multi Asset Outlook - Landing in the dark

As abhorrent as recent events in the Middle East have been, financial markets have, for now, taken these events in their stride, with some flight to safety in public markets, but fairly mild reactions overall.

Tags: M&G Investments, Review, Macroeconomics and politics, Multi-asset, Equities, Outlook
Listed infrastructure: distressed valuations, long-term opportunities

Listed infrastructure: distressed valuations, long-term opportunities.

Tags: M&G Investments, Infrastructure
Inflation: Mapping the impact of the global rate hiking cycle

After a sustained era of cheap money, an abrupt and unprecedented shift in the global interest rate hiking cycle was ushered in, as the world’s major central banks sought to stave off surging inflation. The Bank of England moved first, increasing its base rate to 0.25% from a historic low of 0.1% in December 2021. The Federal Reserve (Fed) was next, announcing a rate hike in March 2022, with the European Central Bank (ECB) following suit in July of that year. We take a look at the implications – in the real economy – of the largest global interest rate raising exercise in recent history.

Tags: M&G Investments

Displaying: 1 - 10 of 57