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Connecting the Dots

Connecting the Dots

M&G Investments 44 Episodes Jul 6, 2026

For investment professionals only. This podcast presents the views of M&G's investment professionals as they discuss investment opportunities, asset classes, and markets. Each episode offers insights into current market conditions and potential investment strategies. It is aimed at professional investors seeking expert perspectives on global financial topics.

Episodes

CIO Mid-Year Outlook 2026: Adapting to the new investment landscape
CIO Mid-Year Outlook 2026: Adapting to the new investment landscape Jul 6, 2026 1737 From the evolving AI story to an inflationary backdrop, M&G Investments’ CIOs dissect a complex market where traditional rules of investing appear to be breaking down. Find out where they see risks and opportunities across equities, fixed income and private markets, and why they emphasise the importance of selectivity, diversification and a more dynamic approach to asset allocation in the se
CIO Mid-Year Outlook 2026: Adapting to the new investment landscape
CIO Mid-Year Outlook 2026: Adapting to the new investment landscape Jul 3, 2026 1732 From the evolving AI story to an inflationary backdrop, M&G Investments’ CIOs dissect a complex market where traditional rules of investing appear to be breaking down. Find out where they see risks and opportunities across equities, fixed income and private markets, and why they emphasise the importance of selectivity, diversification and a more dynamic approach to asset allocation in the se
CIO 2025 outlook – and why growth’s the elephant in the room
CIO 2025 outlook – and why growth’s the elephant in the room Dec 10, 2024 1747 With growth top of the agenda for investors moving into 2025, join M&G Investments’ CIOs for their outlook amid a number of macroeconomic effects at play. They deliberate on growth, the Trump presidency and tariffs given the potential implications for global geopolitics, inflation – and prospective market opportunities.   Speakers: Fabiana Fedeli, CIO, Equities, Multi-Asset and Sustainability
US elections – what are investors watching?
US elections – what are investors watching? Oct 4, 2024 1130 In a year of global elections, the main stage has been set and all eyes are now on the White House and Congress in the US. In this episode, Anthony Balestrieri and Tony Finding discuss what investors are keeping a close watch on – from the bearing that election outcomes have on the global economic trajectory to fiscal expenditure and the ever-present market disciplinary forces.    Speakers: Anthon
Misconceptions and opportunities in ABS
Misconceptions and opportunities in ABS Sep 18, 2024 895 A misconception that asset-backed securities (ABS) is largely the experience that the US subprime market went through during the global financial crisis still exists. In this episode, Matt Wardle and Harry Bullamore dispel the misconceptions around ABS which, once cleared, pave the way for investors to allocate to it, consider the uniquely defensive aspects of the asset class and where it sits fro
Mid-year investment perspectives with three CIOs
Mid-year investment perspectives with three CIOs Jun 28, 2024 1120 Each month experts from across our global network of investors will join us to bring you their views across equities, fixed income and private markets. This debut episode features investment perspectives from M&G Investments’ three Chief Investment Officers (CIOs) at the mid-way point of 2024. Click here to access the full Investment Perspectives Mid-Year 2024 Outlook. Speakers: Fabiana Fedeli
The return of equity income
The return of equity income May 13, 2024 702 Post-Global Financial Crisis, income investing in equities found itself in the wilderness. The only way to outperform between 2010 and 2020 was to be at the growth-end of the spectrum. But that all changed abruptly in 2022 with spiralling inflation and rising interest rates. In this episode, Stuart Rhodes, Global Dividend Fund Manager, and Alex Araujo, Global Listed Infrastructure Fund Manager, co
The long-term megatrend of European private asset-backed finance
The long-term megatrend of European private asset-backed finance Mar 25, 2024 860 While Europe’s private asset-backed finance markets have been growing in importance for a number of years, it's only in recent years where we've seen the regulatory pressures that banks are facing come to the fore, fuelling a strong desire to shrink balance sheets and increase capital. This has created a wealth of opportunities, with a significant number of transactions coming to market almost eve
The great global election cycle
The great global election cycle Feb 22, 2024 1644 As billions of people vote in national elections in 2024, including seven of the world’s 10 most populous nations, our panel of cross asset class experts looks at the issues and potential unique and overlapping implications at play across developed and emerging markets – from the US and UK to South Africa and Mexico. They also analyse what asset allocators are watching, including the influence of
A brief history of real estate – and what’s back in fashion
A brief history of real estate – and what’s back in fashion Jan 12, 2024 1096 History offers useful lessons, as a plethora of adages often remind us. In the first episode of 2024, Jose Pellicer Global Head of Investment Strategy and Richard Gwilliam, Head of Research at M&G Real Estate, kick off the new year with a brief look at real estate throughout recent history – from a world of high inflation and interest rates in the 1980s to rock bottom interest rates Post-GFC –
CIO perspectives on what lies ahead in 2024
CIO perspectives on what lies ahead in 2024 Dec 13, 2023 1132 M&G’s CIOs Jim Leaviss and Fabiana Fedeli share their perspectives for 2024, considering how to potentially drive returns through the uncertainty ahead, and highlighting the importance of being selective in a challenging economic environment.   Speakers: Fabiana Fedeli, Chief Investment Officer, Equities, Multi-Asset and Sustainability Jim Leaviss, Chief Investment Officer, Fixed Income   Host
Dissecting the gilt crisis fallout
Dissecting the gilt crisis fallout Oct 12, 2023 591 Just over a year has passed since the gilt market turmoil of September 2022, sparked by the UK government’s so-called ‘mini-budget’. The fallout from the crisis, as the pound fell and gilt yields spiked, prompted an emergency intervention by the Bank of England to restore orderly market conditions against a global backdrop of high inflation and rising interest rates. A significant change in asset

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