This fund is ideal for investors seeking returns from a diversified portfolio of global debt and fixed income securities. The recommended investment horizon is 2 years (or longer when used as strategic exposure to the asset class).
M&G Investment Management Limited (UK)
Republic of Ireland
Global Flexible Bond
Bloomberg Barclays Global Aggregate Bond Index
Marc Beckenstrater & Craig Simpson
9 June 2017
The fund aims to achieve its investment objective by investing in a diversified portfolio of global debt and fixed income securities. The fund may invest in other collective investment schemes and in financial derivative instruments.
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