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PIMCO Perspectives

What’s Pushing Long-Term Bond Yields Higher?

A confluence of rising sovereign debt, surging AI-related corporate bond issuance, and inflation concerns has lifted 30-year yields in the U.S. and elsewhere to two-decade highs.

Investing in an Uncertain World

These investment ideas are tailored to help investors navigate the ongoing market volatility and uncertainty on their terms.
Mutual Funds

PIMCO Monthly Income Fund (Canada) | PMO205

  • CADF
  • Unhedged
  • CAD
Morningstar Rating™
Morningstar Rating
Total Net Assets
39,049 MM CAD
Mutual Funds

PIMCO Canadian Core Bond Fund | PMO202

  • CADF
  • Unhedged
  • CAD
Morningstar Rating™
Morningstar Rating
Total Net Assets
1,369 MM CAD
Mutual Funds

PIMCO Managed Core Bond Pool | PMO215

  • CADF
  • CAD
Morningstar Rating™
Morningstar Rating
Total Net Assets
2,481 MM CAD

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Economic and Market Commentary

Labor costs adjusted for productivity have a strong record in pointing to the underlying trend.

PIMCO Perspectives

A confluence of rising sovereign debt, surging AI-related corporate bond issuance, and inflation concerns has lifted 30-year yields in the U.S. and elsewhere to two-decade highs.

Macro Signposts

Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.

The Credit Market Lens

BDC equities continue to trade at significant discounts to NAV, reflecting skepticism toward reported marks, a concern reinforced by valuation levels that have yet to fully reset, even as BDC bonds continue to outperform their stocks.

Macro Signposts

Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.

Economic and Market Commentary

Higher starting yields are creating opportunities across global fixed income. Group CIO Dan Ivascyn explains why quality, liquidity, and global diversification can be key to building portfolio resilience in an uncertain environment, and how the strategy pursues attractive income potential without reaching for added risk.

The Credit Market Lens

As AI-related issuance reshapes bond markets, differences in U.S. dollar and euro performance offer new insights into the roles of supply and technical factors.

Economic and Market Commentary

As markets evolve and new issuance reshapes the credit landscape, investors have an expanding opportunity set across global fixed income. PIMCO Portfolio Manager Sonali Pier explains why active credit selection, global diversification, and a relative value approach is especially important today. She discusses how investors can seek attractive income opportunities while maintaining a focus on liquidity, quality, and flexibility.

Investment Strategies

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.

Macro Signposts

Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.

The Credit Market Lens

Foreign demand for U.S. assets – especially credit – remains resilient amid broader macro and market uncertainties.

Macro Signposts

Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.

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