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Welcome to M&G

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Flexibility powered by multi asset expertise

M&G Multi Asset offers a suite of flexible strategies that harness strategic and tactical asset allocation decisions to drive investment returns, backed by a long-standing team of multi asset investment professionals.  

Explanations of the investment terms used on this page can be found in the glossary.

Our multi asset capabilities  

With a long-standing heritage in multi asset investing, M&G Investments offers a broad and innovative range of actively managed multi asset solutions designed to meet different investor objectives and risk profiles. Our multi asset capabilities span flexible absolute return strategies encompassing balanced portfolios and thematic approaches, offering investors access to a broad set of capabilities across one multi asset range. 

Driven by investors’ evolving needs, we construct diversified portfolios by combining our best ideas across asset classes, regions and investment themes. Performance is underpinned by disciplined asset allocation, specialist expertise and robust research, enabling us to manage risk effectively and uncover opportunities across market cycles.

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Multi asset investment professionals

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Average years of experience

$0bn

Assets under management (AUM)

Source: M&G Investments, as at 31 December 2025. AUM in USD terms.

Why choose M&G for multi asset?

Multi asset expertise delivered dynamically

At M&G Investments, multi asset investing is built on depth, flexibility and choice. With a long-standing heritage across asset classes and market cycles, we offer a broad range of multi asset solutions, including flexible outcome‑oriented strategies and balanced and thematic portfolios, under a single, integrated investment framework.

This breadth of capability enables us to design solutions for a wide range of investor objectives, risk tolerances and portfolio requirements. Whether investors are seeking growth, income, diversification or more defensive outcomes, our multi asset strategies are actively managed and dynamically adjusted to respond to changing market conditions.

Our investment approach combines disciplined asset allocation, behavioural insight and fundamental research to understand how different sources of return and risk interact. This robust framework enables our specialist teams to identify opportunities, manage risk effectively and deliver consistent outcomes across market cycles, all backed by the scale, expertise and long-term perspective of M&G Investments.  

Strategic assessment

Dynamic asset allocation

Asset class diversification

For illustrative purposes only.

Solutions

Our multi asset solutions

M&G Multi Asset constructs portfolios for a suite of pooled funds and client investment mandates, catering for a variety of investor preferences and target outcomes. Our portfolios combine the inherent diversification benefits of multi asset investing with the ability to allocate capital dynamically across global markets, including in niche and hard‑to‑access areas.

Thematic

A focused range of multi asset strategies targeting specific outcomes – income and sustainability – through active asset allocation and behavioural insights.

The views expressed in this webpage should not be taken as a recommendation, advice or forecast, nor a recommendation to purchase or sell any specific security. Investments involve risks and may not be suitable for all investors. Past performance is not indicative of future results. The value of investments may go up or down and is not guaranteed. You may not recover the full amount you invested. If you are in any doubt about the contents of this website, you should seek independent professional advice.

Multi asset AUM by strategy