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Insights Overview Summary
​PIMCO’s approach to investment management starts with the challenges and goals of each client. Investors need holistic solutions that match their objectives with the right investment strategies. PIMCO’s expertise across all global markets, sophisticated platform and rigorous risk management act as a foundation for investment solutions that are engineered to meet the complex needs of today’s investors.
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Andrew F. Pyne
Featured Solutions
May 2012
Equity Investing: From Style Box to Global Unconstrained
​Many investors may not know that the unintended consequences of the “style box” approach to equity investing may result in underperformance.
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Brigitte Posch
Ignacio Sosa
Featured Solutions
March 2012
You Can No Longer Say Corporates Without EM

​As emerging market corporate bonds kick off a potentially important year, we believe the asset class is increasingly attractive for global investors.

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Marco van Akkeren
Ben Emons
Featured Solutions
March 2012
U.S. Covered Bonds: Reassessing Credit Risk and Relative Valuations
​We believe nominal spread analysis is insufficient, since investors must now consider recovery and default risk under various economic conditions.
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Joshua Anderson
Carrie E. Peterson
Featured Solutions
January 2012
​Tide Turns for Structured Credit

​The market for structured credit looks poised to experience positive supply and demand dynamics.

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Sai S. Devabhaktuni
Featured Solutions
January 2012
Distressed Corporate Securities: Positioning for a ‘Second Bite at the Apple’

​At PIMCO, we believe we are able to uniquely position our clients to harvest the significant and growing opportunities in corporate distress.

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Brigitte Posch
Featured Solutions
January 2012
Riding the Global Roller Coaster: The Outlook for Emerging Markets High Yield Corporates in 2012

Despite tail risks due to an uncertain macro backdrop, we believe emerging markets likely will be supported by greater policy flexibility, stronger domestic balance sheets and continued positive economic growth.

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Curtis A. Mewbourne
Maria (Masha) Gordon
Featured Solutions
January 2012
Macro Matters: Incorporating Top-Down Views in Emerging Market Equities

​We believe incorporating a global macro framework with a bottom-up stock selection process can be a key advantage in providing compelling risk-adjusted returns in EM equities.

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Rene Martel
Featured Solutions
December 2011
Delayed LDI Implementation: Making It Worth Your While

​Traditional intermediate duration bond portfolios have hidden costs and risks for plan sponsors waiting for higher interest rates before implementing liability-driven investment (LDI) programs.

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Steven L. Jones
Featured Solutions
October 2011
Small Cap Investing: Addressing Market Constraints with Equity Index Derivatives

Adding small caps through equity index derivatives is a potentially attractive, and often overlooked, way for investors to adjust their allocations or make new investments in this segment.​

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Chuck M. Lahr
Featured Solutions
October 2011
Annualize That! Using Merger Arbitrage in Equity Portfolios

​Merger arbitrage is an area where we believe investors have the potential to capture equity-like returns with less risk than the overall equity market.

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