By Jerome M. Schneider | Sep 27, 2019 Steering Away From Volatile Markets: Short-Term Bonds May Offer Value As Fed Eases Short-term bonds could rise in price and potentially maintain a high degree of liquidity in response to Federal Reserve rate cuts.
By Joachim Fels | Sep 26, 2019 Key Takeaways From PIMCO’s Cyclical Outlook: Window of Weakness In our latest Cyclical Outlook, we discuss a period of vulnerability for the global economy.
By Daniel J. Ivascyn | Sep 24, 2019 How We're Thinking About Managing Liquidity Liquidity management can help investors position for offense, especially when volatility hits markets.
By Tiffany Wilding | Sep 19, 2019 September Fed Meeting: Divisions Over the Path of Policy Weakness in the U.S. economy leaves it vulnerable to shocks. We think the Fed will respond with additional easing this year.
By Daniel J. Ivascyn | Sep 19, 2019 Green Shoots in Global Markets Group CIO Dan Ivascyn discusses the risks and opportunities in emerging markets and where investors can find high conviction ideas globally.
By Jerome M. Schneider, William Martinez, Jerry Woytash | Sep 18, 2019 Repo Rate Spike: A ‘Tail’ Of Low Liquidity Markets can prove interesting when the price of liquidity abruptly increases and high yield is no longer the highest-yielding investment.
By Greg E. Sharenow | Sep 16, 2019 Saudi Oil Site Attacks Exacerbate Tightening Supply, Add to Price Risk Premium Attacks and outages could add to the longer-term geopolitical risk premium in oil prices.
By Gavin Power, Olivia A. Albrecht, Samuel Mary | Sep 16, 2019 Three ESG Takeaways from PRI in Person 2019 This year, in Paris, we were excited to participate as an industry expert and to engage with attendees on ESG (environmental, social, and governance) investing in fixed income.
By Andrew Bosomworth | Sep 13, 2019 European Central Bank Policy: QE Infinity That fiscal policy is becoming the new monetary policy when it comes to fighting recession was a key conclusion of PIMCO’s Secular Forum, and this was the message ECB President Mario Draghi underlined through both actions and words.
By Greg E. Sharenow | Sep 10, 2019 Oil Supply Outlook: Is Your Barrel Half Full or Half Empty? Continued tight crude balances could be the bigger surprise to the market.
By Scott A. Mather | Sep 04, 2019 Quick Takes: Why Core Bond Indexes Are Riskier Now Learn why we think it’s important to take an active approach to core bond investments.
By Nicola Mai | Sep 03, 2019 Disruption in the Eurozone: Challenges of an Arranged Marriage Two decades after inception, the eurozone countries’ arranged marriage-type of union looks shaky at best, and now it is even more challenged by ongoing, global disruptive forces.
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Andrew Bosomworth Daniel J. Ivascyn Gavin Power Greg E. Sharenow Jerome M. Schneider Jerry Woytash Joachim Fels Nicola Mai Olivia A. Albrecht Samuel Mary Scott A. Mather Tiffany Wilding William Martinez
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