Bonds are back… we’ve been expecting you.
Choose the Investment Goal
Focus on Income
Income Fund | IE00B80G9288
- INST-ACC
- Hedged
- EUR
Diversified Income Fund | IE00B1JC0H05
- INST-ACC
- Hedged
- EUR
Restore Your Core
Global Bond Fund | IE0032875985
- INST-ACC
- Hedged
- EUR
Total Return Bond Fund | IE0033989843
- INST-ACC
- Hedged
- EUR
Euro Bond Fund | IE00B0M2YC33
- E-INC
- EUR
Global Advantage Fund | IE00B58Z4F45
- INST-ACC
- Partially Hedged
- EUR
Hedge Against Inflation
Global Real Return Fund | IE0033666466
- INST-ACC
- Hedged
- EUR
Inflation Multi-Asset Fund | IE00B8JZPJ59
- E-ACC
- USD
Global Low Duration Real Return Fund | IE00BHZKQB61
- INST-ACC
- Hedged
- EUR
Diversification
Dynamic Bond Fund | IE00B4R5BP74
- INST-ACC
- Hedged
- EUR
Sustainable Investing
PIMCO Climate Bond Fund | IE00BLH0Z375
- INST-ACC
- Hedged
- EUR
Global Investment Grade Credit ESG Fund | IE00BFZ89B79
- INST-ACC
- Hedged
- EUR
Emerging Markets Bond Fund | IE0032568770
- INST-ACC
- Hedged
- EUR
Global Bond ESG Fund | IE00BYXVX196
- INST-ACC
- Hedged
- EUR
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Mortgage credit sits at the heart of asset-based finance and can offer a compelling blend of yield and diversification. PIMCO Group CIO Dan Ivascyn and Jason Steiner, Head of Residential Credit, explore how data, an integrated public-and-private market perspective, and cycle-tested experience define our distinctive approach to residential mortgage investing.
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.
Energy shocks, private credit stress, and AI disruption are changing expectations for rates and risk. Marc Seidner, CIO non-traditional strategies, explains how we’re approaching portfolio construction now.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
How equity and credit investors are reassessing BDC valuations differently – and why high yield defaults continue to play out primarily through distressed exchanges.
Strategies to strengthen and diversify portfolios need to adapt to a world where geopolitical risk is a feature rather than a bug.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
The software sector remains challenged by pressured valuations, uncertain recoveries, and less reliable sponsor support.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
Group CIO Dan Ivascyn and portfolio manager Jason Steiner discuss how post global financial crisis conservatism, locked in mortgage rates, and shifting policy priorities are driving consumer lending opportunities today.
Markets may be pricing some relief for now, but the true measure of an oil shock is how long it endures.