| P/E (FY) | — | Sales (TTM) | — |
| Earnings (TTM) | £302.0M | ROE | 9.41% |
| Net Margin | — | ROIC | — |
| Debt / Equity | — | TD / EBITDA | — |
| EPS Growth 3Y | — | Sales Growth 3Y | — |
M&G plc provides investment and savings products to institutional clients and individual policyholders in the United Kingdom and internationally through Asset Management and Life segments. The Asset Management segment offers equities, fixed income, multi-asset, and real estate investment products, while the Life segment provides corporate pension solutions, individual life and pensions, and a range of annuities including level, fixed increase, and inflation-linked options.
| Market Cap | — | Trading Days | 1657 |
| 52W High | 359.30 |
| 52W Low | 247.00 |
| % Off High | −0.92% |
| YTD | 24.30% | 1Y | 38.25% |
| 3Y | 76.76% | 5Y | 55.87% |
| Since incept. (ann.) | 7.53% |
| Ann. Volatility (1Y) | 19.89% | Ann. Volatility (3Y) | 21.22% |
| Sharpe (1Y) | 1.77 | Sharpe (3Y) | 1.06 |
| Max Drawdown (1Y) | −15.76% | Max Drawdown (3Y) | −27.64% |
| Beta (3Y, vs SPY) | 0.83 |
No same-industry peers in the universe for MNG.L.