M&G (Lux) Conservative Allc C EUR Inc (FUND:BD5TFP2) - Fund price


Fund Report

M&G (Lux) Investment Funds 1 - M&G (Lux) Conservative Allocation Fund C EUR Inc

Management
Name of CompanyM&G Luxembourg S.A.
Fund CompanyM&G
Phone-
Websitewww.mandg.com
Address16, boulevard Royal,
Luxembourg L-2449
Luxembourg
Fund
DomicileLuxembourg
Legal StructureSICAV
UCITSYes
Inception Date16/01/2018

Fund Advisor(s)

M&G Investment Management Ltd.
Managers
Fund ManagerCraig Moran
Manager Start Date16/01/2018
BiographyCraig Moran is deputy fund manager of the M&G funds. Craig joined M&G in 2005 as a performance and risk analyst, and was later promoted to a fund managers’ assistant to the Multi Asset team. In 2010, he became the team’s investment analyst. Craig holds a bachelor of business degree from Queensland University of Technology and a masters in applied finance and investments from the Financial Services Institute of Australasia. He is a CFA charterholder.
Fund ManagerJuan Nevado
Manager Start Date16/01/2018
BiographyJuan Nevado joined PPM (now M&G) in 1988 and has been working as part of the Multi Asset team led by Dave Fishwick since 1999. He is co-fund manager of the M&G (Lux) Conservative Allocation Fund and the M&G (Lux) Dynamic Allocation Fund (and held the same positions on the UK-authorised UCITS which merged into these funds on 16 March 2018). Since January 2011 he has been co-fund manager of the M&G Episode Allocation Fund, a UK-authorised UCITS. Prior to joining M&G, Juan worked as a bond economist at the Bank of Montreal, and before that, as an economist for the Commodities Research Unit, a private business consultancy specialising in macro/micro research on commodities markets. Juan has a BSc in economics from the LSE and an MA in economics from Warwick University.
Fund ManagerSteven Andrew
Manager Start Date16/01/2018
BiographySteven Andrew joined M&G in 2005 as a member of the portfolio strategy & risk team, before moving to the Multi Asset team, where he helped to formulate asset allocation strategies for M&G's multi-asset fund range. In November 2010, Steven was appointed manager of the newly launched M&G Income Multi Asset Fund. Before joining M&G, Steven worked at F&C Asset Management, Merrill Lynch and the Bank of England. He graduated from the University of London in 1997 with a degree in financial economics.
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