M&G Corporate Bond Fund (2024)

Sterling Bonds

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Bonds - Sterling Corporate Bond

  • Bonds - Sterling
  • Bonds - Sterling Corporate Bond
  • Bonds - Sterling Short Term
  • Bonds - Sterling Strategic Bond
  • Bonds - UK Gilt

Rank:

30 of 102

Sterling Corporate Bond

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Objective

The Fund aims to provide a higher total return (the combination of capital growth and income), net of the Ongoing Charge Figure, than the average return of the iBoxx Sterling Corporates GBP Index over any five-year period. At least 70% of the Fund is invested, directly or indirectly through derivatives, in investment grade corporate debt securities including investment grade Asset-Backed Securities. These securities can be issued by companies from anywhere in the world, including Emerging Markets. These securities are denominated in Sterling or hedged back to Sterling.

Managed by:

M&G Corporate Bond Fund (1)

Richard Woolnough M&G Corporate Bond Fund (2)

Richard Woolnough has more than twenty years of experience in fixed interest investment. Born in Chesterfield in 1964, Woolnough graduated from the London School of Economics and started his fixed interest career with Italian group Assicurzioni Generali in 1987. He then joined SBC Warburg as a sterling instruments trader before moving to Old Mutual in 1995 where he was responsible for the Old Mutual Corporate Bond fund and Old Mutual UK Fixed Interest long-term bond fund. Woolnough made the switch to M&G Investments early in 2004 to take charge of the firm’s Corporate Bond fund. He currently manages this and the Strategic Corporate Bond fund which was launched in February 2004. Both the Corporate Bond fund and the Strategic Corporate Bond fund invest mostly in investment grade corporate bonds, although the Strategic Corporate Bond fund holds far fewer stocks, and takes larger duration and credit positions. Woolnough also manages the M&G Optimal Income fund, which can invest wherever the manager sees best value in the fixed income universe.

Showing manager performance globally. You can view performance in individual jurisdictions.

Performance

Sterling Corporate Bond

31/01/2021 - 31/01/2024

Rank Fund Name Currency Return
28

Fidelity Duration 5 Feeder Acc GBP

GBP -8.8%
29

Rathbone Ethical Bond I Acc

GBP -8.9%
30

GBP -9.7%
31

GBP -9.7%
32

Schroder Sterling Corporate Bond Z Acc

GBP -9.8%

View full league table

Rank Fund Name Currency Risk
33

Barclays Sterling Corporate Bd A Acc GBP

GBP 9.1%
34

GBP 9.2%
35

GBP 9.2%
36

Fidelity Corporate Bond Master Acc GBP

GBP 9.2%
36

CT Responsible Sterling Corp Bd 1 Inc

GBP 9.2%

View full league table

Rank Fund Name Currency Loss
25

Royal London Corporate Bond A Inc

GBP -21.9%
26

GBP -22.2%
27

GBP -22.3%
28

Fidelity Corporate Bond Master Acc GBP

GBP -22.4%
29

Fidelity Duration 5 Feeder Acc GBP

GBP -22.7%

View full league table

Total Returns

Month by month Performance

Quarterly Performance

to 01/01/2024 Annual Q1 Q2 Q3 Q4
2023 10.2% 2.8% -3.1% 2.1% 8.4%
2022 -15.6% -5.6% -7% -9.7% 6.4%
2021 -2.2% -2.8% 1.5% -0.7% -0.1%
2020 5.5% -7.1% 8.4% 1.3% 3.4%
2019 10.8% 3.9% 2.6% 3.6% 0.3%
2018 -3% -1.5% -0.6% 0.1% -1.1%
2017 5% 1.7% 1.2% 0.2% 1.8%
2016 8.8% 2.7% 3% 5.6% -2.5%
2015 0.3% 2.5% -3.3% 0.7% 0.5%
2014 11.1% 3.5% 1.5% 2% 3.7%
2013 0.4% 0.7% -2.2% 1.8% 0%
2012 12.1% 2.8% 1.7% 4.1% 3%
2011 9.9% 1.2% 2.6% 2.3% 3.4%
2010 8% 3.9% 1.9% 5.3% -3.2%
2009 19.4% 1.5% 7% 8.8% 1%
2008 -0.3% -1.9% -1.5% 1.5% 1.6%
2007 2.9% -0.3% -2.2% 1.7% 3.7%
2006 1% -0.7% -0.9% 2.8% -0.2%
2005 8.4% 0.2% 4.8% 0.8% 2.4%
2004 6.8% 0.7% -1.7% 4.1% 3.6%
2003 6.3% 1% 3.9% -0% 1.3%
2002 6% 0.5% 1.2% 3.3% 0.9%
2001 5.4% 1.5% -0.5% 3.2% 1.1%
2000 8.3% 1.9% -0.4% 3% 3.6%

Returns Vs Risk

Asset Allocation

Breakdown

31/12/2023

Top 10 Holdings

Stock Size
United Kingdom of Great Britain and Northern Ireland 0.625% 5.28%
Kreditanstalt Fur Wiederaufbau 4.875% 2.84%
M&G (Lux) Sterling Liquidity GBPZ6A Dist 2.75%
United Kingdom of Great Britain and Northern Ireland 4.25% 2.66%
Imperial Brands Finance Plc 4.875% 1.63%
European Investment Bank 4.875% 1.59%
AT&T Inc 4.375% 1.49%
Inter-American Dev Bank 4.75% 05/10/2029 1.18%
United Kingdom of Great Britain and Northern Ireland 3.75% 1.07%
Royal Bank of Canada 5.6787% 1.05%

31/12/2023

Registered For Sale In

Fund Info
Launch date 15th April 1994
ISIN GB0031285678
Base Currency GBP
Investments and Charges
Minimum Initial Investment 500 GBP
Minimum Regular Additional Investment 100 GBP
Annual Management Charge 0.79%
Fund Size
B Inc Share Class 289.567m GBP

Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).

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M&G Corporate Bond Fund (2024)
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