# M&G Alternatives Investment Management Limited

M&G Alternatives Investment Management Limited is an Asset Manager based in London, United Kingdom.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** London, United Kingdom
- **Region:** Europe
- **Address:** London, United Kingdom
- **Founded:** 1931
- **Assets under management:** Undisclosed
- **Website:** mandg.com

## Regulatory record

- **CRD number:** 283173
- **SEC file number:** 802-107608
- **Registration status:** Registered
- **Reports private funds:** Yes
- **IAPD record:** https://adviserinfo.sec.gov/firm/summary/283173

## About

M&G Alternatives Investment Management Limited is a London-based investment adviser registered with the SEC since 2016.

## Sectors

- Private Credit
- Infrastructure
- Real Estate
- Energy Transition & Renewables
- Private Equity
- Securitized Credit

## People

- John Foley — CEO, M&G plc

## Questions

### Who runs investment decisions at M&G Alternatives?

John Foley is CEO of M&G plc, the parent entity. The alternatives division is led by a dedicated investment team that reports into the broader M&G executive committee, with sector heads for private credit, infrastructure, real estate and private equity making day-to-day allocation decisions (per M&G plc annual report, 2024).

### How does M&G Alternatives source proprietary deal flow?

The firm originates primarily through direct relationships with corporates, project developers and financial sponsors, leveraging M&G's balance sheet as a long-term capital partner. It also structures bespoke transactions such as securitizations and club deals, often in partnership with other insurers or pension funds.

### Does M&G Alternatives participate in fund commitments or only direct deals?

The firm primarily makes direct investments and originates its own transactions, but it also commits to external funds on occasion, particularly in infrastructure and private credit strategies where it seeks co-investment rights or advisory board seats.

### What investment stages does M&G Alternatives typically target?

M&G Alternatives targets mature, cash-flow-generating assets across private credit, infrastructure and real estate. It focuses on primary issuance or direct lending to mid-market and large-cap companies, project finance for energy transition or transport projects, and existing commercial real estate with strong tenant covenants.

### Which sectors does M&G Alternatives explicitly avoid?

The firm generally avoids venture-stage technology, early-stage biotech and speculative resource extraction, preferring asset-backed or contractually yielding investments aligned with regulatory frameworks such as Solvency II and the UK's prudential regime.

### How is M&G Alternatives related to M&G plc and the former Prudential?

M&G Alternatives is a wholly owned subsidiary of M&G plc, which was demerged from the Prudential in 2019. The firm's asset management heritage dates to 1931, but the corporate entity M&G Alternatives Investment Management Limited was registered in 2000 and now serves as the private markets operating entity.

## Related profiles

- [Proprietor Wealth Management](https://altss.com/profile/proprietor-wealth-management-inc)
- [Hoover Capital Management](https://altss.com/profile/hoover-capital-management-llc)

---

Last updated: 2026-06-03T20:00:00.000Z

Canonical page: https://altss.com/profile/mandg-alternatives-investment-management-limited

Maintained by Altss — https://altss.com — methodology: https://altss.com/methodology
