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You are attested as a Financial Advisor / Intermediary, but this page is intended for a Institutional Investor.
You are attested as a Borrower, but this page is intended for an Institutional Investor.
You are attested as an Individual Investor, but this page is intended for an Institutional Investor.
Our philosophy is that investment portfolios built through the integration of credit research, quantitative analysis, and risk management can achieve consistent excess returns for clients with a high information ratio. This research-based process applies across all of our investment strategies.
Our fundamental research heritage is our differentiator with experienced analysts that provide deep coverage of countries, sectors, industries, issuers, currencies, and structures, and they—along with our portfolio managers—have direct access to company management and key fixed income figures in the market. Our Quantitative Analysis and Risk Management group also maintains proprietary models for relative value analysis, risk management, stress testing, and performance attribution, with a sophisticated approach toward risk budgeting.
Past performance is not a guarantee or reliable indicator of future results. No risk management technique can guarantee the mitigation or elimination of risk in any market environment. Source: PGIM as of December 31, 2025. Note: Staffing as of June 30, 2025. Average years of experience and years at firm calculated at principal level and above.
*Includes CLO analysts.
**Portfolio Management includes senior executives and product managers.
Let us help you navigate today's complex market environment.
PGIMはお客様からの信頼を大切にし、プライバシーを尊重しています。当社は、お客様の利便性を向上させるためにクッキーを使用しています。クッキー設定の管理や、当社による情報保護の取り組みについての詳細は、PGIMプライバシーセンターでご確認いただけます。
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PGIMはお客様からの信頼を大切にし、プライバシーを尊重しています。当社は、お客様の利便性を向上させるためにクッキーを使用しています。クッキー設定の管理や、当社による情報保護の取り組みについての詳細は、PGIMプライバシーセンターでご確認いただけます。
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