The value view - finding opportunities in adversity


Asset markets have been subject to extreme volatility in recent days. M&G’s institutional public debt team has been maintaining a close watch on credit markets with a view to identifying attractive opportunities.

  • As we have seen in many crises and periods of market dislocation, the only thing we seek to rely on are valuations.
  • The M&G Institutional team has been proactively changing portfolio positioning in response to new opportunities being identified.
  • To us these are not markets to be fearful of. With patience and resilience, investors that can look beyond variable short-term performance should, in the longer term, be well-placed to reap the rewards..

The value of investments will fluctuate, which will cause prices to fall as well as rise and investors may not get back the original amount they invested.

Read more

For institutional investors only. Not for onward distribution to any other type of client. No other persons should rely on the information contained on this website.