Focused on Finding the Best in Global Credit

Prioritising potential through dynamic exposure to credit markets.

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.​

BEST-IDEA PORTFOLIO POSITIONING​

PGIM Fixed Income’s multi-sector strategies seek opportunities across various fixed income sectors, enabling them to emphasize alpha, enhance diversification, mitigate risk and adjust to changing market conditions.​

FEATURED FUNDS

EXPLORE OUR MULTI-SECTOR BOND LINEUP

Flexibility to navigate all market environments

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.

MULTI-SECTOR EXCELLENCE

Investment Week named the PGIM Multi-Sector Credit Fund team “Fund Manager of the Year” in the Global Bonds category for 2024.

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

Prior to 1 August 2024, the Multi-Sector Credit Fund was known as PGIM Multi Asset Credit Fund.


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