PGIM Webinar: The Renaissance of Higher Yields
Join us on 30th January to hear why 2023 could signal an attractive entry point for long-term high yield bond investors and where the biggest opportunities and risks lie in the global leveraged finance universe.
PGIM: 2023 Outlook: Global Macro Offers A Versatile Vantage Point
An agile liquid alternative approach with expanded investment options and directional trading capabilities offers added flexibility to navigate markets in what could be a volatile year ahead.
PGIM: Positioning Bond Portfolios for a Rate Hike Reversal
Daleep Singh, PGIM Fixed Income’s Chief Global Economist, details factors that put the U.S. on one of the clearest paths to peak inflation among developed economies and predicts a major change in Federal Reserve policy likely to follow soon after.
PGIM Investments: 2023 Outlook: Investing Through Shifting Macro Perspectives
Extraordinary events presented significant challenges for investors in 2022. PGIM asset managers share their perspectives on the evolving investment landscape and provide insights on key trends set to shape 2023 and beyond.
PGIM Investments: How To Gain Better Diversification
Michael Dicks, Chief Economist and Deputy Head of Research at PGIM Wadhwani, discusses why a long-only approach may not work to protect traditional portfolios in the coming year.
PGIM Investments: Uncertainty Means Opportunity for Global Macro
Liquid alternative solutions can provide answers to pressing questions posed by current conditions, according to PGIM Wadhwani’s Michael Dicks.
PGIM Investments: Global High Yield: An Attractive Entry Point?
With higher yields and wider credit spreads shaping the bond market backdrop, investors don’t need to embrace added risk in search of attractive income, according to Jonathan Butler.
PGIM Investments: A Growth Stock Rebound On The Horizon
As recession risks cloud near-term visibility, Jennison Associates shares its Q4 2022 Outlook highlighting durable long-term trends that could propel growth stocks as the backdrop evolves.
PGIM Investments: Context For The Fixed Income Commotion
As elevated risks warrant continued caution in the bond market, PGIM Fixed Income shares its latest insights on key issues, including the role that improving supply chain conditions should play in easing inflationary pressures.
PGIM Investments: Global Macro: A Nimble Strategy For Ongoing Volatility
Bonds may no longer offer protection for long holdings in equities, so investors may want to consider systematic macro strategies that seek to go short both equities and bonds when inflation surprises on the high side.