Investment Strategies

PIMCO Income Strategy: Uncovering Opportunities for Investors Around the Globe

Since its inception, the PIMCO Income Strategy has aimed to deliver consistent income and attractive returns by being defensive in challenging markets and opportunistic when it matters – a strategy that has helped bring the benefits of our income expertise to millions of investors worldwide.

More from this section

Read Transcript

In uncertain environments, bond investors often ask: What should I do? Should I change course? And how can I help preserve my income stream?

PIMCO can help. We are income experts.

PIMCO has been navigating up and down markets for over 50 years.

Market volatility doesn’t impact all bonds the same. The bond market is exceedingly diverse and global, so we believe investors should consider sticking with an active, multi-sector strategy that has the flexibility and resources to uncover opportunities around the world.

PIMCO Income Strategy seeks to do this and more in delivering the benefits of our income experience to millions of investors worldwide.

Since its inception, the Strategy has looked to deliver consistent income and attractive returns for its investors, by being defensive in challenging markets and opportunistic when it matters.

The Strategy seeks to achieve balance between yield and capital preservation. Its portfolio holds higher yielding assets that should remain resilient in negative economic environments, and also high quality assets that should perform well during an economic slowdown.

Aiming to generate return while managing downside risk, the Strategy follows a “Bend but Don’t Break” philosophy, striving to avoid permanent economic loss even at times its price may pick up volatility.

The reasons to stay invested in bonds – for income, diversification and capital preservation – remain constant in uncertain times.

If you’re seeking a resilient Income Strategy that can help you stay on course throughout the market cycle, talk to your account manager or financial adviser about the PIMCO Income Strategy today.

Filters: Reset All

Filters

Close Filters Dropdown
  • Tags

    Reset

    Close
  • Category

    Reset

    Bond by Bond
    Careers
    Economic and Market Commentary
    Investment Strategies
    PIMCO Foundation
    PIMCO Education
    View from the Investment Committee
    View From the Trade Floor
    Viewpoints
    Education
    Close
  • Order By

    Reset

    Alphabetical
    Most Recent
    Close
() filters applied

Multimedia Finder

Filter By:
  • Bond by Bond
  • Careers
  • Economic and Market Commentary
  • Investment Strategies
  • PIMCO Foundation
  • PIMCO Education
  • View from the Investment Committee
  • View From the Trade Floor
  • Viewpoints
  • Understanding Investing
  • B
  • C
  • D
  • F
  • G
  • H
  • I
  • K
  • M
  • N
  • P
  • R
  • S
  • T
  • W
  • Z
Clear
Andrew Balls
CIO Global Fixed Income
Justin Blesy
Asset Allocation Strategist
Meredith Block
ESG Research Analyst
Allison Boxer
Economist
David L. Braun
Portfolio Manager
Jelle Brons
Portfolio Manager, Global and U.S. Investment Grade Credit
Erin Browne
ポートフォリオ・マネージャー
Grover Burthey
Portfolio Manager, ESG
Libby Cantrill
U.S. Public Policy
Kenneth Chambers
Fixed Income Strategist
Stephen Chang
Portfolio Manager, Asia
Devin Chen
Portfolio Manager, Commercial Real Estate
Richard Clarida
Global Economic Advisor
Mathieu Clavel
Portfolio Manager, Alternative Credit
Tony Crescenzi
Portfolio Manager, Market Strategist
Harin de Silva
Portfolio Manager, Special Situations
Pramol Dhawan
Portfolio Manager
Jason Duko
Portfolio Manager
David Forgash
Portfolio Manager
Max Gelb
Product Strategist
Nick Granger
Portfolio Manager, Quantitative Analytics
Adam Gubner
Portfolio Manager, Distressed Debt
Daniel H. Hyman
Portfolio Manager
Daniel J. Ivascyn
Group Chief Investment Officer
Mark R. Kiesel
CIO Global Credit
Kristofer Kraus
Portfolio Manager
Jason Mandinach
Head of Alternative Credit and Private Strategies
Kyle McCarthy
Alternative Credit Strategist
Mohit Mittal
CIO Core Strategies
John Murray
Portfolio Manager, Global Private Real Estate
Roger Nieves
Sonali Pier
Portfolio Manager, Multi-Sector Credit
Gavin Power
Chief of Sustainable Development and International Affairs
Lupin Rahman
Portfolio Manager
Graham A. Rennison
Quantitative Portfolio Manager
Steve A. Rodosky
Portfolio Manager
Jerome M. Schneider
Portfolio Manager
Marc P. Seidner
CIO Non-traditional Strategies
Emmanuel S. Sharef
Portfolio Manager, Asset Allocation and Multi Real Asset
Greg E. Sharenow
Portfolio Manager, Commodities and Real Assets
Kimberley Stafford
Global Head of Product Strategy; Responsible for Sustainability Oversight
Jason R. Steiner
Portfolio Manager, Private Lending and Opportunistic Strategies
Christian Stracke
President, Global Head of Credit Research
Geraldine Sundstrom
Portfolio Manager, Asset Allocation, EMEA
François Trausch
CEO and CIO of PIMCO Prime Real Estate
Matt Tuten
Portfolio Manager
Megan Walters
PIMCO Prime Real Estate
Qi Wang
CIO Portfolio Implementation
Jamie Weinstein
Portfolio Manager, Corporate Special Situations
Tiffany Wilding
Economist
Kirill Zavodov
Portfolio Manager, Real Estate
PIMCO
Mike Cudzil
Portfolio Manager
Seray Incoglu
Portfolio Manager, Commercial Real Estate
  • Alphabetical
  • Most Recent
Section : Date : Experts :
Reset All
Opportune Time for High-Quality Global Bonds
Today’s Historic Opportunity in Actively Managed Bonds (video)
Celebrating International Women’s Day
Credit Outlook – Time for High Quality Bonds and Leveraged Loans (video)
Unlocking the Power of Private Credit
Aviation Finance: Capturing Opportunities in Private Credit

Load more results Load {{cCtrl.fetchResults}} more results