Michael Moyle

Senior Portfolio Manager and Head: Portfolio Risk Oversight

Masters Engineering Mechanics (University of Texas, USA); MBA (University of Cape Town); Chartered Financial Analyst (CFA Institute)

Michael joined M&G Investments in May 2007. He is joint Portfolio Manager of several M&G multi-asset portfolios, including the flagship M&G Balanced and Inflation Plus Funds and institutional mandates. As a member of the Asset Allocation Committee, he has shared responsibility for the active asset allocation decisions in these funds. In January 2024 Michael assumed responsibility for the overall investment risk oversight of all M&G’s portfolios, as well as overseeing the specialist ESG function within the investment team

Prior to joining M&G Investments, he worked for another investment manager for 10 years, where he was responsible for portfolio risk and construction. Currently, he has 26 years of industry experience.

Michael’s qualifications include: a Masters in Engineering Mechanics (University of Texas); Master of Business Administration (MBA) (University of Cape Town); and CFA charterholder.

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