Investment Strategies

A multi-sector approach to higher income and return potential from global credit markets.

Portfolio managers Dan Ivascyn, Alfred Murata and Eve Tournier discuss the advantages of the PIMCO Diversified Income Strategy and how this dynamic approach to global credit investing seeks to balance return against risk.

More from this section

Multimedia Finder

Filter By:
Section
  • Economic and Market Commentary
  • Investment Strategies
  • Viewpoints
  • Careers
  • Education
  • PIMCO Foundation
  • Business Updates
  • View from the Investment Committee
Experts
  • A
  • B
  • C
  • F
  • I
  • K
  • M
  • R
  • S
  • W
Clear
Olivia A. Albrecht
Mike Amey
Francesc Balcells
Andrew Balls
Jeremie Banet
Libby Cantrill
Richard Clarida
Joachim Fels
David Fisher
Daniel J. Ivascyn
Mark R. Kiesel
Jason Mandinach
Scott A. Mather
Lalantika Medema
Raja Mukherji
John Murray
Lupin Rahman
Emmanuel Roman
Jerome M. Schneider
Marc P. Seidner
Greg E. Sharenow
Scott Steele
Geraldine Sundstrom
Mihir P. Worah
Order By
  • Alphabetical
  • Most Recent
Section:
Tag:
Date:
Expert:
Ticker:
Reset All
Investment Strategies

Bonds Are Different: Active Management in Mortgage Bond Portfolios

The mortgage-backed securities market has certain features than can favor active managers.This video reviews them, as well as PIMCO’s approach to making them work for investors in its Mortgage Opportunities Strategy.

Visit Bonds Are Different to learn more about the potential benefits of active fixed income management and access a range of investor resources and educational material.

Load 6 more results