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Why us?
Pan regional diversified real estate strategies pool together investments from across sectors and geographies, with the potential to optimise risk-adjusted returns. Accessing direct real estate investments in this way can also help to mitigate volatility, given enhanced diversification benefits.
Investing in large-scale, pan regional diversified strategies offers broad exposure to a particular region, which cannot be replicated through other investment means. In particular, strategies targeting core real estate can reflect a low risk proposition, with returns focused on long-term capital appreciation and stable income growth.
Europe’s real estate markets remain typified by a limited supply of modern, high-quality assets, supporting robust occupier demand. Strong fundamentals mean rental income is therefore a key return driver.
Investing in core European real estate can offer diversification benefits owing to the potential to tap into different market maturities, as well as potential inflation protection, given that the majority of real estate leases are typically linked to the relevant Consumer Price Index.
Our strategy aims to optimise long-term total return by investing in high quality real estate across a range of European countries and sectors, with a focus on generating stable income streams. The strategy seeks to add value through strategic asset allocation, stock selection and asset management, through on-the-ground presence in multiple European markets.
The Asia Pacific real estate market is the fastest-growing market in the world, offering increasingly high levels of maturity, transparency and liquidity. The market reflects strong fundamentals, underpinned by a robust economic backdrop and favourable supply and demand dynamics.
Investing in core Asia Pacific real estate can therefore provide multiple benefits, including diversification within a global real estate portfolio; access to defensive characteristics; and a growing pool of investment opportunities.
Our strategy targets long-term capital appreciation and stable income growth through investment in high quality real estate in developed economies. The strategy is diversified across markets and sectors, with on-the-ground investment and asset management expertise in Singapore, Tokyo, Sydney and Seoul.
Please note that not all mentioned strategies may be available or registered for sale in all jurisdictions.
The views expressed on this webpage should not be taken as a recommendation, advice or forecast. The value of investments will fluctuate, which will cause 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.
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In the UK, the United States, Canada and Australia: M&G Investment Management Limited, registered in England and Wales under number 936683, registered office 10 Fenchurch Avenue, London EC3M 5AG. M&G Investment Management Limited is authorised and regulated by the Financial Conduct Authority. In Hong Kong and Korea: M&G Investments (Hong Kong) Limited. Office: Unit 1002, LHT Tower, 31 Queen’s Road Central, Hong Kong; in Singapore by M&G Investments (Singapore) Pte. Ltd. (UEN 201131425R), regulated by the Monetary Authority of Singapore; in Taiwan: independently operated by M&G Investments (Taiwan) Limited ,regulated by Financial Supervisory Commission of Taiwan, R.O.C. (113-gingwantougu-009). Address: Rm B1, 33F., Taipei 101 Tower, No. 7, Sec. 5, Xinyi Rd., Xinyi Dist., Taipei, 110, Taiwan. Tel: +886-02-81010600; in Japan: M&G Investments Japan Co., Ltd. Investment Management Business Operator, Investment Advisory and Agency Business Operator, Type II Financial Instruments Business Operator Director-General of the Kanto Local Finance Bureau (Kinsho) No. 2942. Membership to Associations: Japan Investment Advisers Association, Type II Financial Instruments Firms Association; elsewhere: M&G Luxembourg S.A. Registered Office: 16, boulevard Royal, L-2449, Luxembourg.