Tony Crescenzi, Pimco's Market Strategist says prospects for bond markets still look good for 2025, but investors can be ...
Distribution cuts hit RCS and PCM CEFs hard due to high NAV premiums. Read why predicting such moves is tough and what this ...
Erin Browne, PIMCO managing director, joins 'Closing Bell' to discuss her 2025 playbook, the rising risk from yields and ...
The PCM Fund aims for high current income through investments, and its returns have been flat over the past 2.5 years. Click ...
The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution for each Fund’s common shares as summarized ...
But Fidelity says borrowing costs could drop further to 1.5%, while Pimco also sees risks of steeper declines.
In a note this week, Pimco portfolio managers led by Kris Kraus listed SRTs among areas of asset-based finance to approach with care “given significant capital formation or hidden risks that hav ...
PIMCO said on Monday it plans to diversify its government bond exposure by buying outside the United States, where its outlook on long-term government debt is bearish due to a deteriorating fiscal ...
This is paired with an actively managed bond sleeve benefiting from Pimco’s extensive resources and research in the area. The target equity exposure is replicated via a mix of derivatives ...
Pimco High Income Fund is a closed-ended mutual fund focusing on high-yield corporate debt, primarily in U.S. dollars. Managed by Allianz Global Investors and co-managed by Pacific Investment ...
As a result of the Mergers, PMEI issued an aggregate of 79,688,842 PMEI Units, which are listed on the Toronto Stock Exchange under the symbol PMEI.UN.
But Fidelity says borrowing costs could drop further to 1.5%, while Pimco also sees risks of steeper declines. A further repricing could supercharge a rally in European debt, which has already ...