Weekly View from the Desk
PGIM Fixed Income shares their weekly views and outlook for fixed income markets.
Selective solutions amplify opportunities
Elevated yields and deeply discounted prices contribute to an exceptional bond market backdrop at a time when monetary policy appears destined to call attention to the attractive conditions. While the upside potential is compelling on its own, fixed income’s appeal as a diversifier is also apparent amid heightened valuations and volatility among equities.
We offer active solutions across the fixed income spectrum to help address investors’ unique challenges in today’s markets.
Access attractive yield potential with a reduced-risk profile maintained through a consistent focus on fundamentally sound corporate issuers of high-quality debt.
Enhance diversification and emphasise upside in any environment with the tactical flexibility to seek the most promising opportunities across global fixed income.
Pursue high levels of current income with a carefully selected collection of the most compelling opportunities identified among higher-yielding fixed income securities.
Capitalise on inefficiencies in emerging market fixed income and currency markets to bolster return potential and diversification via economies on the rise.
Entities that conduct themselves in a manner consistent with strong ESG standards demonstrate a commitment that bodes well for their business operations, whereas those with lower-end sustainability indicators invite risks that inject uncertainty into their credit outlooks. Given that each company’s ESG-relevant actions correspond with potential investment implications, ESG factors are integrated into fundamental analysis and the decision-making process through a proprietary ESG impact ratings framework.
PGIM Fixed Income has grown into one of the industry’s largest and most-experienced fixed income asset managers.
PGIM Fixed Income shares their weekly views and outlook for fixed income markets.
In its 2Q 2025 outlook, PGIM Fixed Income shares their views on the current economic environment and outlook for fixed income markets.
PGIM Fixed Income explains that ingredients for favorable fixed income returns remain in place, with potential for rangebound rates to decline from over time.
PGIM Fixed Income explores the sovereign ESG ratings framework.
Sources of data (unless otherwise noted) are as of 31 December 2024.
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