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Jamil Baz
Peder Beck-Friis
Portfolio Manager, Global Macro
Josh Davis
Global Head of Risk Management
Joachim Fels
Global Economic Advisor
Courtney Garcia
Helen Guo
Quantitative Research Analyst, Client Solutions and Analytics
Ravi K. Mattu
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Rama S. Nambimadom
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Andrew Nowobilski
Quantitative Research Analyst, Asset Allocation Research
Niels K. Pedersen
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Graham A. Rennison
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Steve Sapra
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Masoud Sharif
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Christian Stracke
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Quantitative Research Analyst
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The Value of Smoothing
Commercial Real Estate Fundamentals After the COVID-19 Outbreak: Surprisingly Attractive
Assessing Inflation: Theories, Policies and Portfolios
Emerging Market Investing: A Multi-Asset, Granular and Dynamic Portfolio Approach
Viewpoints

Emerging Market Investing: A Multi-Asset, Granular and Dynamic Portfolio Approach

Emerging Market Investing: A Multi-Asset, Granular and Dynamic Portfolio Approach

This Research paper is a joint effort between PIMCO and GIC, Singapore’s sovereign wealth fund. GIC authors Grace Qiu Tiantian Ph.D., Ding Li, and Zhihui Yap collaborated with PIMCO’s Josh Davis, German Ramirez, and Helen Guo to produce this report.

The Natural Rate Puzzle

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