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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.
Through shifting market conditions, the strategy continues to demonstrate the importance of employing a diversified and flexible approach to global credit investing.
Aims to generate attractive income and total return with an eye toward minimizing interest rate risk.
Mr. Sageser is a senior vice president in the Newport Beach office and a product manager focused on credit products. He is also a member of the core leadership team for PIMCO’s global sustainability initiative. Prior to joining PIMCO in 2011, he worked as a product manager at Babson Capital Management. Previously, Mr. Sageser was a deal manager for credit products at Wachovia Securities and a fixed income investment analyst at the Franklin Templeton Group. He has 16 years of investment experience and holds an MBA from the Anderson School of Management at the University of California, Los Angeles. He received a bachelor's degree in economics and a master's degree in sociology from Stanford University.