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
Strategic Income Fund | IE00BG800P82
- INST-ACC
- USD
PIMCO Balanced Income and Growth Fund | IE00B53H1M14
- INST-INC
- Hedged
- GBP
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
PIMCO Emerging Markets Opportunities Fund | IE00009XCYV5
- E-ACC
- USD
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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Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
Marc Seidner, CIO non-traditional strategies, explains why it isn’t “too late” for bonds.
Policy support is helping narrow mortgage spreads, and valuations remain historically attractive. Portfolio manager Dan Hyman discusses the opportunity across agency mortgage backed securities (MBS), which offer high quality, liquid exposure with defensive traits and compelling income potential.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
Following strong 2025 returns, high quality fixed income continues to offer attractive yields and global diversification at a time of stretched equity valuations and tight credit spreads.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
Reevaluating passive bond allocations – which have historically underperformed active strategies – may open the door to improved investment outcomes.
With the policy rate in neutral territory, the Fed embraces data dependence – and faces a delicate balancing act in 2026.
Macro Signposts highlights takeaways from the data analysis conducted by our team of economists and other experts.
Marc Seidner, CIO of Non-traditional Strategies, explores opportunities across equities, bonds, credit, and commodities that have the potential to offer investors resilience and diversification.
From public to private credit, Group CIO Dan Ivascyn breaks down where value has re-emerged – and how disciplined selectivity and embracing complexity can help investors navigate the year ahead.
Josh Anderson, Portfolio Manager, shares how PIMCO’s flexible, multi-sector Income Strategy helps investors pursue resilient returns in today’s shifting market landscape.