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You are here: Manager factsheet

James Tomlins

M&G UK, M&G Luxembourg S.A.
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Manager profile
James Tomlins, who has more than a decade of experience in high yield credit, joined M&G in June 2011 and started managing fixed income portfolios in January 2014. The strategies he manages include the Global High Yield Bond, the Global Floating Rate High Yield and the Global High Yield ESG Bond strategies. James was previously an analyst and then a fund manager at Cazenove Capital Management. Before Cazenove, he was at KBC Alternative Investment Management; in the three years prior to that, he worked at Merrill Lynch Investment Managers. James is a CFA charterholder. He graduated with an MA in history and PgDip in economics from the University of Cambridge.
Total return for James Tomlins
Rolling Alpha Quartile: Discrete three year periods
Rolling Alpha Quartile shows a manager's alpha score in quartile terms, plotting his or her risk adjusted performance against all other managers in the UT & OEICs universe. The best managers are those who are consistently ranked in the first or second quartile.
 
Quartile 1
Quartile 2
Quartile 3
Quartile 4
 
 
 
 
 
53-89m
 
 
 
 
 
 
 
 
 
65-101m
 
 
 
 
 
 
 
 
 
77-113m
 
 
 
 
 
 
 
 
 
89-125m
 
 
 
 
 
 
 
 
 
101-137m
 
 
 
 
 
 
 
 
 
Discrete calendar year performance : James Tomlins

Manager career performance
Discrete performance
  0-12m 12-24m 24-36m 36-48m 48-60m 60-72m 72-84m 84-96m 96-108m 108-120m
James Tomlins 9.6 2.1 1.8 13.0 -8.9 4.0 1.3 10.5 1.0 -4.5
Peer Group Composite 9.4 -0.9 1.3 15.0 -5.8 6.2 -2.4 15.0 1.0 3.2
Over / Under 0.2 3.0 0.5 -2.0 -3.1 -2.2 3.7 -4.5 0.0 -7.7
Performance vs peer group composite: James Tomlins
How a manager matches up against their peers gives you some idea of how talented they are. Very few managers perform equally well in rising and falling markets, so knowing which type of market a manager is capable of performing well within is also important.
 
Overall markets
Up
Outperformed peer group composite
5 years
out of a possible 10
 
Overall markets
Up
Underperformed peer group composite
5 years
out of a possible 10
 
Rising markets
UpDown
Outperformed peer group composite
3 years
out of a possible 7
 
Falling markets
UpDown
Outperformed peer group composite
2 years
out of a possible 3
Funds currently managed
Fund Sole/Co-managed Sector Periods
M&G Global Floating Rate High Yield Co-managed UT Sterling High Yield since Sep 11 2014 to present
M&G (Lux) Sustainable Global High Yield Bond Co-managed FO Fixed Int - USD High Yield since Oct 05 2017 to present
M&G (Lux) Global Floating Rate High Yield Lead manager FO Fixed Int - USD High Yield since Sep 21 2018 to present
M&G (Lux) Global High Yield Bond Co-managed FO Fixed Int - USD High Yield since Nov 09 2018 to present
M&G Sustainable Global High Yield Bond Co-managed UT Sterling High Yield since Feb 25 2020 to present
Funds managed previously
Fund Periods
M&G Global High Yield Bond since Jan 01 2014 to Dec 31 2023
M&G European High Yield Bond since Dec 01 2011 to fund close
M&G Floating Rate High Yield Solution since Aug 24 2017 to fund close
M&G Global High Yield Bond since Dec 01 2011 to Dec 31 2013
Data provided by FE fundinfo. Care has been taken to ensure that the information is correct, but FE fundinfo neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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