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Filter By: Section All Asset All Access Featured Solutions Global Credit Perspectives Municipal Monthly Strategy Spotlight Munis in Focus Experts A B C D G H I K L M P R S T W Y Clear Berdibek Ahmedov Product Strategist, Global and Real Return Joshua Anderson Portfolio Manager, Income and Asset-Backed Securities Andreas Berndt Portfolio Manager, Euro Investment Grade Credit Philippe Bodereau Portfolio Manager, Head, Credit Research Europe Jelle Brons Portfolio Manager, Global Investment Grade Credit Esteban Burbano Fixed Income Strategist Stephen Chang Portfolio Manager, Asia Josh Davis Global Head of Risk Management John M. Devir Portfolio Manager Matt Dorsten Portfolio Manager, Quantitative Strategy Brad Guynn Product Strategist Gordon Harding Fixed Income Strategist Jeff Helsing Daniel H. Hyman Portfolio Manager Daniel J. Ivascyn Group Chief Investment Officer Mark R. Kiesel CIO Global Credit Matthew Livas Matthieu Loriferne Portfolio Manager, Capital Securities and Financials Jason Mandinach Head of Alternative Credit and Private Strategies Samuel Mary ESG Research Analyst Alfred T. Murata Portfolio Manager, Mortgage Credit Ketish Pothalingam Portfolio Manager, U.K. Credit Graham A. Rennison Quantitative Portfolio Manager Chris Santore Quantitative Strategies Jerome M. Schneider Portfolio Manager Marc P. Seidner CIO Non-traditional Strategies Christian Stracke Global Head of Credit Research Geraldine Sundstrom Portfolio Manager, Asset Allocation, EMEA Bryan Tsu Portfolio Manager Andrew T. Wittkop Portfolio Manager, Treasuries, Agencies, Rates Jing Yang Portfolio Manager Order By Alphabetical Most Recent
Strategy Spotlight Income Strategy Update: Building Resilience and Harnessing Yield in High Quality Assets Income Strategy Update: Building Resilience and Harnessing Yield in High Quality Assets Despite economic uncertainty, we see compelling value in high quality, liquid assets that we view as more resilient in the face of a potential recession.
Strategy Spotlight Income Strategy Update: A New Bond Cycle Is Dawning Income Strategy Update: A New Bond Cycle Is Dawning We believe fixed income markets offer higher yields and better valuations than in years, and we’ve positioned the Income portfolio to further benefit amid potential for volatility and a weakening economy.
Strategy Spotlight Income Strategy Update: Balancing Opportunity With Resiliency Income Strategy Update: Balancing Opportunity With Resiliency We believe fixed income markets now offer better value for active managers than they have in years.
Strategy Spotlight Income Strategy Update: Higher Yields, Wider Spreads, Greater Opportunities Income Strategy Update: Higher Yields, Wider Spreads, Greater Opportunities The market contraction presents better opportunities than we’ve seen in years to generate income, which we balance against the need for resilience in the face of a potential recession.
Strategy Spotlight Income Strategy Update: Opportunities Ahead Income Strategy Update: Opportunities Ahead Rising yields, wider spreads, and heightened market volatility are providing an attractive environment, but caution in credit selection is warranted.