Finance and Capital Management slide image

Finance and Capital Management

Diverse risk exposures Analysis of M&G plc Group SCR (shareholder view) £bn 11.0 As of H1 2019 0.4 Sectoral (M&G) Operational & 1.3 expense 0.2 Lapse Longevity 1.7 0.9 Currency Credit 3.6 0.3 Interest rate Property 0.9 1.7 Equity Undiversified SCR 5.6 (5.4) Diversification, SCR deferred tax, and other 69
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