M&G begins Brexit-linked shift of funds to Luxembourg
UK fund manager M&G Investments has begun to transfer the assets of four UK-domiciled open-ended funds with assets of around €10.5bn (£9.3bn) to equivalent funds on its Luxembourg platform.
M&G launches first ESG bond fund
M&G Investments has launched an ESG-screened global high yield bond fund, the company’s first venture into the area of responsible investing. The fund will be co-managed by the same duo that already manages M&G’s conventional global high yield bond fund.
M&G shifts four funds to Luxembourg over Brexit fears
M&G is transferring four UK-domiciled open-ended funds to its Luxembourg platform over fear and uncertainty surrounding the UK’s exit from the European Union.
Woolnough says world economy healthier than many think
Arguably the biggest name in UK fixed-income investing, M&G’s Richard Woolnough talks bear markets, duration, deflation, outflows and whether bonds really do have a problem with illiquidity
A-share inclusion to erode EM equity differentiation
China is so dominant that when A-shares are eventually included in the MSCI Emerging Markets Index, the result could be a spate of very similar passive products.