M&G Optimal Income Fund

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M&G Optimal Income Fund Sterling I Acc

Category GBP Allocation 0-20% Equity

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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

262.77p

arrow-up0.08p (+0.03%)

Fund Code

MGOTA

B1H0571

GB00B1H05718

Prices updated as at 13 May 2025
|
Prices in GBX

Investment 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 composite index, over any five-year period. The composite index is made up of one third Bloomberg Global Treasury Index GBP Hedged, one third Bloomberg Global Aggregate Corporate Index GBP Hedged and one third Bloomberg Global High Yield Index GBP Hedged. At least 50% of the Fund is invested, directly or indirectly through derivatives, in debt securities, including investment grade bonds, below investment grade unrated securities and ABS. These securities can be issued or guaranteed by governments and their agencies, public authorities, quasi-sovereigns, supranational bodies and companies from anywhere in the world, including Emerging Markets. These securities can be denominated in any currency. At least 80% of the Fund is in Sterling or hedged back to Sterling.

Portfolio as of 30/04/2025

Asset allocation

Created with Highcharts 7.2.20.32% Stocks90.6% Bonds8.57% Cash0.51% Other0% Not classified
Show long & short position

Geographical breakdown

Continent or country allocation (%)

Created with Highcharts 7.2.213.2613.2626.9426.9459.7959.79United StatesEurope - ex EuroUnited Kingdom

Market classification (%)

Created with Highcharts 7.2.20.010.0199.9999.99EmergingDeveloped

Stock style

Large value

59.79%

% Weight
Value
Core
Growth
Large

60

0

0

Medium

27

0

0

Small

13

0

0

Valuation

M&G Optimal Income Fund Sterling I Acc
GBP Allocation 0-20% Equity

8.77

8.77
16.14

0.46

0.46
1.75

1.44

1.44
2.45

14.20

14.20
10.68

Growth rate

M&G Optimal Income Fund Sterling I Acc
GBP Allocation 0-20% Equity

3.93%

3.93%
10.05%

8.80%

8.80%
2.43%

-6.73%

-6.73%
6.92%

Top 10 holdings

Security nameSectorCountry% of assets
1M&G (Lux) Sterling Liquidity GBPZ6A Dist-Luxembourg4.57
2United States Treasury Notes 3.375%-United States4.06
3United States Treasury Bonds 1.375%-United States3.51
4United States Treasury Bonds 2.75%-United States3.47
5United States Treasury Bonds 1.25%-United States3.44
6United Kingdom of Great Britain and Northern Ireland 4.375%-United Kingdom3.30
7Germany (Federal Republic Of) 4%-Germany2.93
8United States Treasury Notes 1.375%-United States2.88
9United States Treasury Notes 0.625%-United States2.38
10France (Republic Of) 0.75%-France2.36
Assets in top 10 holdings %

32.91%

Total no. of equity holdings

7.00

Total no. of bond holdings

356.00

Stock sectors

M&G Optimal Income Fund Sterling I Acc
GBP Allocation 0-20% Equity

0.00%

Basic materials

-
-

Con cyclical

-
-

Financial svs

-
-

Real estate

-
-

40.21%

Comm services

13.26%
-

Energy

0.01%
-

Industrials

26.94%
-

Technology

-
-

59.79%

Con defensive

59.79%
-

Healthcare

-
-

Utilities

-
-


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