Getting Back in Balance With Core Bonds
Scott Mather, CIO U.S. core strategies, Mihir Worah, CIO asset allocation and real return, and Mark Kiesel, CIO global credit, explain why core bonds are key to portfolio diversification – an essential goal for many investors preparing for potential risks ahead.
Rising market volatility can be a good reminder of why investors have looked to core fixed income to anchor their portfolios.
For an inside look at the process that has fueled PIMCO’s core bond investment strategies for decades and how we are preparing portfolios for what’s ahead, watch “A Solid Foundation for Uncertain Markets.”
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Originally Published at: Getting Back in Balance With Core Bonds