M&G Investment Management Ltd 2025 Sustainability Report
Company: M&G Investment Management Ltd
Sector: Finance & insurance
Country: United Kingdom
Year: 2025
Type: Sustainability Report
Pages: 28
The report covers MAGIM, MAGAIM and MGSL for 2025 and presents disclosures structured around TCFD and IFRS S1, with SASB and SFDR also used for metric selection. It describes the Group's 2050 net zero goal and interim portfolio targets, including a 50%-70% asset-alignment target by 2030 and a reported 37% performance in 2025. The report also introduces Munich Re's modelling of physical climate risks for private real estate and infrastructure assets.
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