EQUIPPED TO OUTMANEUVER MARKETS

Yield levels and relevant risk measures suggest persistent fixed income promise at a time when geopolitical developments fuel market-moving uncertainty. A global multi-sector credit approach provides diverse fixed income exposure while equipping investors with unconstrained and comprehensive capabilities to pursue upside and avoid emerging risks as conditions evolve.​

Equipped For Outperformance

EXPERIENCE AND STABILITY

The PGIM Fixed Income multi-sector team members have an average experience of 21 years, including 18 years with the firm, managing multi-sector strategy assets totalling $256 billion.​

INTENSIVE RESEARCH​

The experienced team draws on the expertise of 150 credit analysts and 70 quantitative researchers and risk managers to contribute to bottom-up security selection combined with tactical duration, credit quality and yield curve positioning.

Sources of data (unless otherwise noted) are as of 31 December 2024.


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