More Than an Income Provider, an Income Expert.
Why PIMCO for Income?
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Focused on Portfolio Resiliency
Flexible, Multi-sector Approach
A Fixed Income Leader
Our Experienced Income Team
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Consistent and Competitive Income Distribution
Expert Management Team
Resources for Investors
Learn more about our capabilities and investment options.
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Canada Prospectus pdf Updated:
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More to Know
PIMCO’s experts regularly produce insights on economic and market trends that can impact income-focused clients.
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Group CIO Dan Ivascyn explains why resilience, quality, and global diversification matter more than reaching for risk amid geopolitical conflict, credit stress, and the AI boom.
With yields across high quality fixed income offering a meaningful valuation cushion, this excerpt from our quarterly Income update explores the role of starting yields, quality, liquidity, and global diversification in shaping a more resilient approach to fixed income.
Higher starting yields help anchor portfolios as uncertainty across markets and the global economy rises.
We believe today’s mix of attractive starting yields, global economic divergence, and shifting markets create a compelling environment for active fixed income.
Josh Anderson, Portfolio Manager, shares how PIMCO’s flexible, multi-sector Income Strategy helps investors pursue resilient returns in today’s shifting market landscape.
We see compelling opportunities for fixed income investments amid economic uncertainty and optimistic equity valuations.
Group CIO Dan Ivascyn shares why today’s environment offers compelling opportunities for bond investors. From attractive high-quality yields to the potential benefits of locking in rates as cash returns decline, learn why fixed income strategies deserve a closer look now.
We focus on high quality investments with compelling yields in an environment of elevated uncertainty.
In today’s markets, generating yield without sacrificing resilience is paramount. Group CIO Dan Ivascyn discusses how our income approach leverages elevated starting yields and a flexible portfolio to deliver attractive returns while managing risk.
We maintain a focus on resiliency as elevated yields within high quality fixed income continue to offer attractive opportunities.
Attractive yields and a broad opportunity set bolster active bond investments amid today’s uncertain macroeconomic and market outlook.
We seek to capitalize on today’s attractive yields while staying mindful of economic and market uncertainties.
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