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Viewpoints Stable Value in Context: Navigating Challenges, Managing Risk(video) Stable Value in Context: Navigating Challenges, Managing Risk Portfolio manager David Braun discusses our outlook for inflation, interest rates and policy, and how our strong focus on risk management has helped our stable value portfolios deliver for our clients.
Viewpoints Inflation in Context: Current and Longer-Term Outlooks(video) Inflation in Context: Current and Longer-Term Outlooks David Braun, portfolio manager, recently joined The Exchange with Douglas Yones, Head of Exchange Traded Products at NYSE, and Robert Trumbull of J.P. Morgan. They discussed the current factors driving inflation, PIMCO’s near- and longer-term inflation outlook and implications for investors.
Viewpoints Inflation in Context: Managing Portfolio Risk(video) Inflation in Context: Managing Portfolio Risk David Braun, portfolio manager, recently joined The Exchange with Douglas Yones, Head of Exchange Traded Products at NYSE, and Robert Trumbull of J.P. Morgan. They discussed inflation uncertainty, the growth environment and why active management is critical for managing inflation risk in your portfolio.
Viewpoints Why Active Fixed Income Matters More Today(video) Why Active Fixed Income Matters More Today Finding opportunities to enhance yield while managing the growing credit risk isn't possible for passive – but is critical for investors in today’s markets. Discover the Active Advantage
Investment Strategies Active Matters: Tapping into Bond Market Inefficiencies(video) Active Matters: Tapping into Bond Market Inefficiencies Bond market complexities call for an active approach. Portfolio manager David Braun explains why passive bond ETFs may fall short and how exploiting structural inefficiencies may give active managers an edge over their passive peers.
David L. Braun Portfolio Manager Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Braun is a managing director and generalist portfolio manager in the New York office. Mr. Braun joined PIMCO in 2009 and leads the U.S. financial institutions group (FIG) and stable value portfolio management teams. He is also a senior member of both the liability-driven investment and the U.S. core portfolio management teams. He oversees management of fixed income investment portfolios for institutional and retail clients. Mr. Braun has 30 years of investment, risk management (including chief risk officer of a large investment company) and actuarial experience. He holds an undergraduate degree in mathematics from the University of Connecticut. He is also a Fellow of the Society of Actuaries and a certified Financial Risk Manager.