本基金之投資目標為於五年期間內提供相較短期投資級公司債市場 較高之總報酬 (結合資本增長及收益)。本基金至少將百分之八十之淨資產價值投資於投資級公司所發行之 固定及浮動利率債務證券及資產擔保證券。
Matthew Russell joined M&G in 2007 as a fund managers’ assistant covering fixed income funds. He became deputy manager of the Short Dated Corporate Bond strategy in 2011 and, two years later, was appointed manager. In 2015 he started managing the Gilt & Fixed Interest Income strategy and in June 2021 became manager of the European Inflation Linked Corporate Bond strategy and deputy manager of the UK Inflation Linked Corporate Bond strategy. Matthew has a BSc in economics from the University of Birmingham and is a CFA charterholder.