Home   |   Site Map   |   Contact Us
US Canada Europe Australia Singapore

   Products & Services
   Short/Low Duration
     U.S. Low Duration
     U.S. Short Term
   Total Return
     Euro Total Return
     Global Bonds
     U.K. Core Plus
     U.K. Long Duration
     U.S. Core Plus
     U.S. Long Duration
   Real Return
     Commodity Real Return
     Global Real Return
     U.K. Index Linked
     U.S. Real Return
   Credit/Emerging
     Diversified Income
     Emerging Markets
     Global High Yield
     Global Investment Grade
     U.K. Corporate
     U.S. High Yield
   Equity Products
     EuroStocksPlus
     U.K. StocksPLUS
     U.S. StocksPLUS
   About PIMCO
   Press Centre
   Bond Resources
   Career Information
   Content Archive

 

 

Euro Total Return
Investment Style

Euro Bond is an active management strategy that seeks to generate above index returns. PIMCO clients utilize Euro Bond portfolios for strategic and tactical purposes, such as gaining broad European interest rate exposure. All sectors of the bond markets are utilised to add value while maintaining an overall risk level similar to the index.

Benchmark
Barclays Capital Euro Aggregate or Citibank Euro Broad Investment Grade Index or similar
Portfolio Duration
Duration is managed between three and seven years.
Market Sectors Utilized
Government bonds, Index-linked bonds, Corporates, Mortgages, Asset-backed, Derivatives
Value Added
Duration Management
Active Yield Curve Management
Sector Rotation
Bottom Up Techniques to Identify Undervalued Securities
Quantitative Research
Credit Research
Volatility Analysis
Cost Efficient Trading
For more information, please go to the Contact Us page.

 

Prior to November 1, 2008, the Barclays Capital indices were published by Lehman Brothers.



Products & Services   |   About PIMCO   |   Press Centre
Bond Resources   |   Career Information   |   Content Archive