Multi-Sector Credit: Risk and reward in focus

A multi-sector strategy positions investors to benefit from opportunistic credit selection and tactical risk management as conditions evolve.

A Leading Global Asset Manager

$1.5T

AUM

1,500+

Investment Professionals

200+

Investment Strategies

FIXED INCOME
$928B

 

EQUITY
$269B

 

ALTERNATIVES
$350B

 

MULTI-ASSET
$108B

 


EMERGING BETTER THAN BEFORE

Structural reforms and a softer U.S. dollar are boosting emerging market resilience. Read on to discover how these shifts are unlocking fresh opportunities for growth and diversification.


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PGIM sourced data as of 31 December 2025 unless otherwise noted. Assets represent gross AUM/AUA unless otherwise noted. Asset totals may not sum due to rounding and double counting. AUM/AUA are based on company estimates and subject to change.

Please click on this PGIM Funds plc disclosure link for important information.

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