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    M&G Global Bond Fund

    Latest Price


    Who Should Invest

    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).

    Risk Profile

    Low Risk

    Investment Objective

    The Fund’s objective is to generate investment returns through exposure to global bonds and interest-bearing instruments over the medium term.

    • Offshore
    • Income & Growth
    • Short Term



    All returns quoted are B-Class after fees and charges

    Min Lump Sum and Debit Order

    LISP dependent

    Investment Manager

    M&G Investment Management Limited (UK)


    Republic of Ireland


    US Dollar

    Morningstar Category:

    Global Flexible Bond


    Bloomberg Global Aggregate Bond Index

    Inception Date

    9 June 2017


    Date Unit Price


    Initial fees (excl. VAT):

    No initial fees are charged

    Annual management fees (excl. VAT):

    Investor Class (B): 0.60%

    • Fund Return

    • Benchmark Return

    • Outperformance

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    Fund Management Approach

    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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