M&G European Credit Investment Fund
A value-focused strategy that uncovers opportunities in European corporate bonds and is actively managed against a benchmark.
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OUR fixed income capabilities
Today, we manage global fixed income assets for a broad range of clients, including pension schemes, insurers, wealth managers and financial institutions. Our investment platform combines macroeconomic insight, fundamental issuer analysis and disciplined risk management to identify opportunities across market cycles.
Our fixed income capabilities span corporate bonds, government bonds, inflation-linked debt, high yield, emerging market debt, multi-asset credit and investment grade asset-backed securities, as well as flexible fixed income strategies.
Source: M&G Investments, as at 31 December 2025.
Solutions
M&G Investments provides a broad fixed income investment platform spanning corporate bonds, high yield, multi-asset credit, flexible strategies, government bonds and inflation-linked bonds, emerging markets and investment grade asset-backed securities. Our research-led approach and collaborative investment culture support disciplined risk management and long-term value creation across public credit markets.
Our corporate bond investing capabilities cover global and regional investment grade markets, supported by detailed credit research and disciplined issuer selection. We offer global and regional strategies, alongside short-dated options. The range aims to deliver consistent, risk-aware returns for clients seeking exposure to corporate bonds.
Our emerging market fixed income investment strategies offer diversified exposure across sovereign, quasi‑sovereign and corporate issuers. Combining macroeconomic insight with bottom‑up research, we invest in improving fundamentals and structural growth opportunities across global emerging markets fixed income.
Our flexible fixed income investing solutions invest across global bond markets with broad discretion to adjust to macroeconomic shifts. Using active duration, currency and sector positioning, these strategies seek to capture evolving opportunities and provide diversification and resilience within cross-asset or fixed income portfolios.
Our capabilities can provide access to both sovereign and corporate inflation-linked bond markets.
Our high yield range provides diversified exposure to global and regional sub-investment-grade credit. Combining in-depth issuer research with active risk management, we seek opportunities where fundamentals and valuations diverge. The strategies aim to deliver attractive returns while managing downside risk across market cycles.
Our investment grade ABS capabilities focus on investment grade securitised credit such as mortgages, consumer finance and specialist lending. Using rigorous structural and collateral analysis, we aim to provide resilient income, strong credit enhancement and diversified return characteristics relative to traditional bond markets.
Our multi-asset credit strategies allocate dynamically across public credit markets, including investment grade, high yield and emerging markets.
This is a marketing communication. Please refer to the prospectus and to the Key information document (KID) before making any final investment decisions.
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.
The views expressed on this webpage should not be taken as a recommendation, advice or forecast.