M&G Investments
[ASK 2021] Real Estate Debt Investing in 2022
Nov 03, 2021 (Gmt+09:00)
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Real Estate Debt Investing in 2022
- Lessons Learnt, Opportunities and Key Risk Considerations
M&G Investments is a global asset manager with a long history investing and innovating across both public and private markets. As an active manager we build solutions around what matters most to our clients whether it be investing for growth or income, to meet future liabilities, protect capital or invest responsibly. We offer access to a broad range of capabilities that span both public and private assets including fixed income, equities, multi-asset, real estate, infrastructure and private equity. Globally we manage over USD 387.52 billion (at 31 December 2020) on behalf of individual and institutional investors including pension funds, endowments and foundations, insurers, sovereign wealth funds, banks and family offices.
[Speakers' Biography]
Duncan is the co-head of Real Estate Finance, M&G Investments with joint responsibility for all strategic and operational aspects of the business. He is a member of the Real Estate Finance Investment Committee and has over 15 years sector experience. Duncan joined M&G Investments in 2011 with primary responsibilities being to originate, structure and execute real estate debt investments and to raise capital for dedicated real estate debt strategies. He has been heavily involved in the establishment and management of five commingled funds and nine segregated accounts, collectively constituting £5 billion of investor commitments.
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