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PIMCO Global Bond Strategy
Investment Style
The PIMCO Global Bond Strategy is actively managed and designed to give investors diversified exposure to international fixed interest markets. This strategy commonly invests in government, semi-government, corporate, mortgage and other fixed interest securities.
Benchmark
Barclays Capital Global Aggregate Index hedged in A$
Portfolio Duration
Duration is managed between three and seven years. Duration is generally within one year of the portfolio's index.
Market Sectors Utilized
Government, Semi-Government, Corporates, Mortgages, Emerging Markets and High Yield
Value Added
The Global Bond Strategy seeks to add value through multiple sources including:
  • Country Bond Allocation
  • Currency Risk Management
  • Duration Management
  • Sector Rotation
  • Yield Curve or Maturity Structuring
  • Credit Research
  • Quantitative Research
For more information, please go to the Contact Us page.

 

Prior to November 1, 2008, the Barclays Capital indices were published by Lehman Brothers.
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