Fund Overview
A comprehensive approach to emerging markets fixed income
PIMCO Emerging Markets Full Spectrum Bond Fund provides investors with a single access point to the full opportunity set of fixed income markets within the emerging economies, including U.S. dollar and local currency-denominated sovereign and corporate bonds as well as local currency exposure. With their strong fundamentals and higher growth rates, we believe emerging markets (EM) offer better return potential—albeit with higher volatility—than most portions of developed country bond markets.
Why Invest In This Fund
Dynamic exposure to EM fixed income
The fund adjusts its exposures to various portions of EM fixed income in real time, based on PIMCO’s evolving assessments of the global economy and markets. The fund’s active management approach combines PIMCO's top-down macroeconomic insights with intensive bottom-up country and corporate credit analysis to identify new opportunities and to adjust its mix of exposures to reflect PIMCO’s preferences among the myriad EM asset classes.
Attractive risk-adjusted return potential
Exposure to local currencies may allow the fund’s managers to take advantage of exchange rate inefficiencies, while exposure to local interest rates may provide higher yields than developed markets. The fund also may benefit from the continued improvement in EM sovereign credit quality along with the superior fundamentals and potential higher yields offered by many EM corporate bonds.
Extensive emerging markets experience
PIMCO’s emerging markets team translates the firm’s global insights and forecasts into positions across external sovereign and corporate debt, local bonds and local currencies. With 17 emerging markets portfolio managers located in Munich, Singapore, Hong Kong and Newport Beach, and 45 credit analysts across the globe, PIMCO is ideally positioned to conduct the frequent on-the-ground research which is critical to investing in EM and to provide risk management 24 hours a day.