Asset allocation for a changing world
The Fund can help position investors for secular transformations in the global economy that are challenging traditional asset allocation approaches by providing exposure to a very wide range of global asset classes.
Three integrated strategies in one investment
The Fund employs three distinct, yet interrelated strategies in an effort to provide attractive total returns while proactively managing risk:
- Optimize the asset mix: Using its time-tested investment process, PIMCO develops a forward-looking allocation aimed at maximizing value across the full spectrum of liquid asset classes.
- Seek return-enhancing opportunities: PIMCO seeks to identify relative value opportunities across broad market segments. These may arise from short-term market dislocations as well as from longer-term structural inefficiencies.
- Hedge against severe outcomes: PIMCO attempts to manage the risks involved in a market crisis or systemic event that, while unlikely to occur, could have a severe impact on portfolio performance.
Access to PIMCO’s proven expertise
PIMCO has repeatedly proven its ability to identify secular and cyclical trends and translate those views into investment positions. Three distinguished PIMCO managers, each with longtime experience in global markets, will work to optimize the portfolio’s asset allocation strategy.
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