The greatest strength of the PIMCO Canadian Total Return Bond Strategy is the ability of its portfolio managers to pursue attractive investment opportunities across all sectors of the bond market. By investing in many different types of bonds, the strategy aims to deliver the following potential benefits to investors:
The PIMCO Canadian Total Return Bond Strategy offers exposure to a diversified pool of fixed-income investments that can adapt to changing market environments. Globally, PIMCO has been managing assets using our Total Return strategy since 1971. The strategy was brought to Canada in 1998, seeking to consistently outperform the market as represented by the FTSE TMX Canada Universe Bond Index. PIMCO was one of the first investment managers to specialize in the field of active fixed income management. Today, PIMCO is a leading institutional money manager with a significant percentage of its assets under management in “core” bond assignments utilizing the Total Return strategy.
Founded on the principle of diversification, the Total Return strategy is designed for investors seeking to achieve the following objectives:
No part of this material may be reproduced in any form, or referred to in any other publication, without express written permission. PIMCO is a trademark of Allianz Asset Management of America L.P. in the United States and throughout the world. PIMCO Canada Corp., 199 Bay Street, Suite 2050, Commerce Court Station, P.O. Box 363, Toronto, ON, M5L 1G2, 416-368-3350. ©2017, PIMCO.
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