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Economic and Market Commentary Forecast Favors Fixed Income(video) Forecast Favors Fixed Income Learn why we believe it is prime time for bonds, how we’re emphasizing diversification and caution and prioritizing quality, and where the opportunities are in today’s markets and beyond. More from this Asset Allocation Outlook
Featured Solutions Unconstrained, Not Unpredictable: Best Practices for Flexible Bond Strategies Unconstrained, Not Unpredictable: Best Practices for Flexible Bond Strategies In unsettled markets, flexible solutions may help investors capture opportunity and mitigate risk.
Strategy Spotlight Two Approaches to Flexible Bond Investing for an Uncertain Market Two Approaches to Flexible Bond Investing for an Uncertain Market Flexible approaches to managing fixed income can help European investors navigate through uncertainty and may achieve attractive yields, even when hedging back to euros.
Insights Income Fund Update | Q1 2018(video) Income Fund Update | Q1 2018 An update on the Income Fund’s performance over the quarter and how it’s positioned in light of rising volatility.
Strategy Spotlight MLP & Energy Outlook: Opportunity Amid A More Stable Price Backdrop MLP & Energy Outlook: Opportunity Amid A More Stable Price Backdrop More stable oil prices should continue to support a favorable outlook for midstream energy assets.
Berdibek Ahmedov Product Strategist, Equities and Multi-Asset Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Ahmedov is an executive vice president and product strategist in the Newport Beach office, responsible for enhanced equity and multi-asset strategies. He previously held responsibility for flexible multi-sector and real return strategies. Prior to joining PIMCO in 2010, he was with Barclays Capital in London for eight years, most recently as vice president and product manager for inflation-linked strategies and index derivatives. He has 21 years of investment experience and holds a bachelor's degree in finance from the University of Lancaster in the U.K.