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Marketing communication
This page contains marketing information

Global experts in fixed income investing

Our active fixed income investment platform combines extensive credit expertise, macroeconomic insight, and a long-standing research culture. This breadth enables clients to access resilient, risk‑aware solutions across global bond markets and evolving credit opportunities.

OUR fixed income capabilities

M&G Investments is recognised as one of Europe’s leading fixed income investors, supported by one of the industry’s largest and most experienced credit research teams. We have a long history of active investing across public and private markets and a heritage of innovation, including launching the UK’s first unit trust in 1931 and pioneering early corporate bond and high yield strategies.

Today, we manage fixed income assets for a broad range of clients, from pension schemes and insurers to wealth managers and global financial institutions. Our global fixed income platform combines macroeconomic insight, fundamental issuer analysis and disciplined risk management to identify relative and absolute value opportunities across cycles, guided by a consistent value‑based approach.

Our capabilities span the breadth of fixed income markets, including corporate bonds, government and inflation‑linked debt, high yield, emerging markets, multi‑asset credit, investment grade (IG) asset‑backed securities, alongside flexible fixed income strategies and liability‑aware solutions, with a focus on delivering resilient long‑term outcomes through rigorous research, active management and a collaborative culture.

0+

fixed income investment professionals

0+

years of bond-market experience

£0bn+

Public Fixed Income AUM

Source: 31 December 2025.

Hear from Andy Chorlton
Chief Investment Officer, Fixed Income

Why choose M&G for fixed income?

Broad fixed income expertise

M&G Investments offers a combination of heritage, scale and research‑driven insight that differentiates us in global fixed income markets. Our investment teams draw on decades of experience navigating market cycles and assessing where risk and pricing may be misaligned, enabling us to take a long‑term view on fixed income investing, supported by strong conviction and disciplined risk controls.

A value‑driven mindset is central to how our teams assess fixed income markets, combining macroeconomic insight with a focus on mispriced risk and long‑term fundamentals to guide disciplined, valuation‑based portfolio construction.

This consistent, value‑based approach to fixed income investing helps us identify opportunities that the market may overlook. Our philosophy is underpinned by deep fundamental analysis. Our analysts, gathered in one of Europe’s largest in‑house credit research platforms, assess issuer strength, business models, capital structures and material ESG factors. This insight supports fixed income investment decisions by portfolio managers across corporate bonds, high yield, emerging markets, structured finance, multi‑asset credit and flexible strategies, helping us identify value and manage downside risks.

Collaboration is central to our approach. Our teams share perspectives across sectors and geographies, supported by consistent processes and a culture that encourages debate and idea generation. We offer an extensive range of active outcome-focused solutions, designed to help clients meet objectives across income, diversification, growth and long‑term liability management.

Solutions

Our fixed income 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, investment grade asset-backed securities and insurance and annuity solutions. Our research-led approach and collaborative investment culture support disciplined risk management and long‑term value creation across public and private credit markets.

 

Corporate bonds

Our corporate bond investing capabilities cover global and regional investment grade markets, supported by detailed credit research and disciplined issuer selection. We offer UK, European, US and Asian strategies, alongside short‑dated options and fixed maturity solutions. The range aims to deliver consistent, risk‑aware returns for clients seeking resilient investment grade credit exposure. 

This is a marketing communication. Please refer to the prospectus and to the KIID 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 in this webpage should not be taken as a recommendation, advice or forecast.

Public fixed income AUM by sub asset class

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