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M&G Plc Reveals Latest Investment Holdings in Fund Update

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M&G Plc Reports Significant Portfolio Changes for Q1 2025

M&G Plc has recently updated its investment portfolio, revealed through a 13F filing. This disclosure highlights the fund’s holdings as of March 31, 2025. Detailed portfolio insights are accessible on Quiver Quantitative, allowing for tracking of other funds’ activities.

The most notable stock moves, based on our analysis, include:

  • Increased their position by 4,625,108 shares of $EWW, valued at approximately $235,695,504, marking an estimated increase of ~inf% over their earlier stake.
  • Added 595,014 shares of $MSFT, totaling around $223,362,305, representing a 31% growth compared to their previous holdings.
  • Increased their position in $META by 221,633 shares, valued at approximately $127,740,396, which is a 31% rise from their last reported position.
  • Reduced their stake in $AMZN by 643,143 shares, resulting in a value of $122,364,387. This is a significant decrease of approximately 96% from their prior position.
  • Cut their investment in $MMC by 488,486 shares, now totaling $119,205,239, reflecting a decrease of roughly 95% from previous levels.
  • Increased their holdings in $AMCR by 10,009,751 shares, valued at around $97,094,585, which is an increase of roughly 17% over their former position.

These estimates may contain inaccuracies due to potential filing errors from the funds or parsing issues on our end, among other factors.

For more detailed information, visit Quiver Quantitative’s fund page on M&G Plc.

The views and opinions expressed herein are those of the author and do not necessarily reflect those of Nasdaq, Inc.

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