Blog Investing in Volatile Markets To take advantage of market volatility, investors need to be patient, defensive and flexible.
To take advantage of market volatility, investors need to be patient, defensive and flexible. Group CIO Dan Ivascyn explains. For an extended discussion of our views on investing in the current environment, please watch “Volatility Has a Silver Lining” with Group CIO Dan Ivascyn. WATCH
Strategy Spotlight Income Strategy Update: Opportunities Ahead Rising yields, wider spreads, and heightened market volatility are providing an attractive environment, but caution in credit selection is warranted.
Municipal Monthly Monthly Municipal Market Update, April 2022 A brief update on what's happening in the municipal bond market.
Blog Credit Where Credit Is Due: Four Common Misconceptions in Public and Private Credit Markets Heightened market volatility has led to misconceptions about credit, in our view. We dispel four of them here.
Blog China’s Property Sector Slump: Is Recovery on the Horizon? In the absence of immediate and substantive policy easing at the national level, we believe that the sector could pose a serious risk to the government’s GDP growth target in 2022.
Blog Outflows Can Create Potential Opportunities in Municipal Marketplace Higher yields, wider credit spreads, and other common market reference metrics suggest relative valuations for muni bonds have become attractive.
Blog Fed Outlook: Expeditious but Nimble Federal Reserve hikes policy rate 50 basis points, while remaining flexible in fighting inflation.
Asset Allocation Outlook Late‑Cycle Strategies We assess risks and potential opportunities for multi-asset portfolios amid late-cycle dynamics, higher inflation, rising interest rates, and geopolitical uncertainty.
Featured Solutions We believe PIMCO’s flexible fixed income models are well-positioned to address four major challenges facing bond investors.
All Asset All Access All Asset All Access: Engaging Opportunities Amid Volatile Markets Research Affiliates discusses their approach to managing risks and targeting opportunities in uncertain environments.