PGIM Fixed Income

One of the largest and most experienced fixed-income managers in the industry, PGIM Fixed Income’s intensive credit research and risk-management approach to investing can be traced back 140 years.

KEY FACTS

Benefits of Scale

A global scale fixed income manager with the resources necessary to specialise across all fixed income sectors

 

Experience and Stability

A long history of managing fixed income portfolios dating back to 1875 with senior professionals averaging 29 years of investment experience

Broad Capabilities

Capabilities and expertise extend across a wide range of traditional and non-traditional fixed income sectors, broadening their opportunity set

Global Integration

Portfolio managers share research and insights on local markets with colleagues across the globe

Expertise in Credit Research

Maintains a large and highly experienced credit research organisation

Significant Focus on Risk

Daily risk monitoring and reporting across portfolios conducted by a 50-member Quantitative Research and Risk Management Group

$709 BILLION

ASSETS UNDER MANAGEMENT

Investment Focus

Public and Alternative Fixed Income


Footnotes

Sources of data (unless otherwise noted) are as of 31/12/2017.