
M&G Investments
Description
M&G Investments is a prominent global asset manager headquartered in London, United Kingdom, with a long-standing history in the investment landscape. As of December 31, 2023, the parent company, M&G plc, reported substantial assets under management and administration totaling £339.7 billion. While M&G manages a broad spectrum of public market assets, including equities and fixed income, a significant and growing part of its strategy is dedicated to private and alternative assets, encompassing real estate, infrastructure, private credit, and private equity. Their investment approach is characterized by a focus on long-term value creation and sustainable investments, often providing patient capital to support growth and development.
Investor Profile
M&G Investments has backed more than 47 startups, with 11 new investments in the last 12 months alone. The firm has led 18 rounds, about 38% of its total and boasts 10 exits across its portfolio.
Investment Focus Highlights
- Concentrates on Series Unknown, Series D, Debt Financing rounds (top funding stages).
- Majority of deals are located in United Kingdom, Israel, India.
- Strong thematic focus on Financial Services, Biotechnology, Manufacturing.
- Led 6 rounds in the past year.
- Typical check size: $25M – $625M.
Stage Focus
- Series Unknown (19%)
- Series D (15%)
- Debt Financing (13%)
- Series C (13%)
- Series B (11%)
- Post Ipo Equity (9%)
- Series E (6%)
- Private Equity (4%)
- Convertible Note (2%)
- Corporate Round (2%)
Country Focus
- United Kingdom (34%)
- Israel (13%)
- India (11%)
- Switzerland (9%)
- United States (9%)
- Germany (9%)
- Canada (2%)
- The Netherlands (2%)
- Belgium (2%)
- Kenya (2%)
Industry Focus
- Financial Services
- Biotechnology
- Manufacturing
- Fintech
- Health Care
- Cleantech
- Artificial Intelligence (Ai)
- Semiconductor
- Automotive
- B2b
Frequently Asked Questions
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