M&G Plc

All 13F Filings

Location
London, X0
Most recent 13F
Q4 2025
Holdings value ($000)
19,466,970
Description
London London based research oriented capital manager with an independent operating structure and a research first and risk aware investment mandate. The approach emphasizes valuation discipline and downside awareness, fundamental research depth, and active stewardship and governance oversight for long horizon investment mandates. Execution standards emphasize measured risk, governance alignment, and durable portfolio outcomes through exposure correlation monitoring and implementation consistency.
Founded
1931
Chairman
CEO
All SEC filings
View on sec.gov

Sector allocation over time (stocks only)

Stacked by quarter. Hover to see detailed sector breakdown for any quarter.

Quarter Date Filed Holdings Value ($000) Form Type Name
Q4 2025 2/12/2026 378 19,466,970 13F-HR M&G Plc
Q3 2025 11/7/2025 371 18,807,138 13F-HR M&G Plc
Q2 2025 8/8/2025 414 18,153,476 13F-HR M&G Plc
Q1 2025 5/13/2025 435 20,902,130 13F-HR M&G Plc
Q4 2024 2/11/2025 418 16,200,704 13F-HR M&G Plc
Q3 2024 10/31/2024 409 27,700,920 13F-HR M&G Plc
Q2 2024 7/16/2024 393 25,352,000 13F-HR M&G Plc
Q1 2024 5/10/2024 366 26,477,296 13F-HR M&G Plc
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Money flow by instrument (QoQ, ex-options)
Derivatives reported exposure ($000): 8.498 K (0.0% of total reported value) · QoQ Δ: +1.206 K
Type Value ($000) Share % Inflow Outflow Net
Stocks 18.55 M 95.3% 543.2 K 0 543.2 K
ETFs 116.4 K 0.6% 116.4 K 0 116.4 K
Debt 796.3 K 4.1% 8.935 K 0 8.935 K
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Fund Snapshot

Q4 2025
Latest filed
2/12/2026
Total value ($000)
19,466,970
Holdings
378
QoQ value change ($000)
659,832 (3.5%)
Value = total reported 13F value ($000), Holdings = number of positions.
13F Value over time
Holdings count over time
Sector allocation (latest, stocks only)
Methodology: sector allocation is stocks-only; instrument flow table is ex-options; options exposure is shown separately. Details.