M Plus Funds, operates as a specialized investment management firm that develops and manages exchange-traded funds and related investment products focused on innovative, rules-based and index strategies. The company designs and administers share classes, basket replication methods, and collateralized or synthetic exposure for its funds, delivering target-date, thematic, and accelerator strategies tailored to diversified investor needs. Core activities include index construction, ETF product management, fund creation and fund accounting services, performance analytics, liquidity management, and ongoing regulatory and compliance duties across fund offerings. Primary geographic footprint spans North America and Europe, with distribution and servicing networks extending to institutional and retail clients globally. Founded in [founding year], M Plus Funds operates headquarters in [headquarters location], and maintains subsidiary structures and related entities to support fund issuance, custody, administration, and distribution. Industry and segments include asset management, index investing, and ETF services; target markets include pension funds, wealth managers, banks, family offices, registered investment advisers, and other institutional and high-net-worth investors. Latest major changes include strategic partnerships and alliances with custodians and distribution platforms; recent fund launches and enhancements to accelerator ETF line via the Nasdaq-100 Accelerator Autocall ETF (MPIA) and related products; ongoing acquisitions or reorganizations to expand product capabilities and geographic reach; and updates to product governance and client servicing platforms to improve efficiency and scalability.