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Filter By: Section Featured Solutions Experts A C D F G J M P R S T W Clear Joshua Anderson Head of Global ABS Portfolio Management Stephen Chang Portfolio Manager, Asia Tom Collier Alternatives Strategist Josh Davis Global Head of Client Analytics Harin de Silva Portfolio Manager Anton Dombrovsky Product Strategist, Emerging Markets Anderson Dong Credit Research Analyst Matt Dorsten Portfolio Manager, Quantitative Strategy Sabeen Firozali Credit Strategist Cristian Fuenzalida Quantitative Research Analyst Nick Granger Portfolio Manager, Quantitative Analytics Adam Gubner Portfolio Manager, Distressed Debt Andrew R. Jessop Portfolio Manager, High Yield Kyle McCarthy Alternative Credit Strategist Rick Pagnani Portfolio Manager Neal Reiner Alternative Credit Strategist Colin Riendeau Head of Corporate Development Chris Santore Derivatives Strategist Steve Sapra Client Solutions & Analytics Jason R. Steiner Portfolio Manager, Residential Real Estate Christian Stracke Global Head of Credit Research Sasha Talcott Account Manager, Institutional Clients Ashish Tiwari Head of Client Solutions, Americas Jerry Tsai Quantitative Research Analyst Jamie Weinstein Portfolio Manager, Head of Corporate Special Situations Order By Alphabetical Most Recent
Featured Solutions Today's Credit Opportunities in 5 Charts Today's Credit Opportunities in 5 Charts How can credit markets help active investors achieve their goals in the present low yield environment? Here are 5 ideas.
Featured Solutions Implementation Matters: A Review of the Performance of Alternative Risk Premia Strategies in 2020 Implementation Matters: A Review of the Performance of Alternative Risk Premia Strategies in 2020 Wide performance dispersion underscores the importance of portfolio construction.
Featured Solutions Distressed Credit Opportunities on Rise Amid Uncertainties in Middle Markets Distressed Credit Opportunities on Rise Amid Uncertainties in Middle Markets Liquidity issues and other business risks could prompt a wave of defaults and restructurings, in turn creating fertile ground for opportunistic investing in distressed credit.
Featured Solutions Looking for Better Beta in Emerging Markets? Looking for Better Beta in Emerging Markets? Efficient passive exposure to emerging market (EM) local debt requires a nuanced approach due to the limitations of traditional indices, inherent trading costs and performance drags associated with EM local investing. In this short paper we explore these headwinds and approaches to solve for them. In doing so, we lay out what we think is an attractive solution for investors to achieve “better beta” in EM fixed income.
Featured Solutions Dual Recourse – the Covered Bond Advantage Dual Recourse – the Covered Bond Advantage In this Q&A, Kristion Mierau, portfolio manager, European covered bonds, discusses the characteristics of covered bonds and how an allocation to these securities can serve as an alternative to European sovereign debt
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