Filters: Filters: Reset All Filters XClose Filters Dropdown Topic/Tag Tags Reset Close Category Category Reset Economic and Market Commentary Investment Strategies Viewpoints Blog Financial Institutions Education Close Order By Order By Reset Alphabetical Most Recent Close Download ({{cCtrl.itemsToDownload.length}}) Empty Remove {{selOpt}} Filter () filters applied
Filter By: Section Economic and Market Commentary Investment Strategies Viewpoints Blog Financial Institutions Understanding Investing Order By Alphabetical Most Recent
Viewpoints Sustainability-Linked Bonds: Coming of Age Sustainability-Linked Bonds: Coming of Age The fast-growing market for sustainability-linked bonds offers opportunities, and we believe issuers would benefit by incorporating even more ambitious performance metrics and goals.
Blog Beyond Brexit: Outlook and Risks for the U.K. Economy Beyond Brexit: Outlook and Risks for the U.K. Economy Despite seeing major market swings following the 2016 Brexit referendum, we don’t expect Britain’s departure from the European Union (EU) to have any major economic effects in our baseline outlook for 2021 and beyond. Far more important are COVID-19, fiscal policy, and bigger questions around future productivity growth.
Strategy Spotlight PIMCO Climate Bond Strategy: Investing in Sustainable Solutions PIMCO Climate Bond Strategy: Investing in Sustainable Solutions PIMCO Climate Bond Strategy aims to help foster the transition to a net zero carbon economy while seeking positive financial returns.
Featured Solutions The Case for Long UK and U.S. Credit for UK Pension Schemes The Case for Long UK and U.S. Credit for UK Pension Schemes Valuations are attractive, fundamentals are stable, technicals are improving and interest rate risk can be hedged.
Featured Solutions Is It Time for UK Pension Funds to Increase Holdings of Long-Dated Sterling Credit? Is It Time for UK Pension Funds to Increase Holdings of Long-Dated Sterling Credit? Long-dated fixed income credit can be a natural candidate for matching pension funds’ long-dated liabilities.
Ketish Pothalingam Portfolio Manager, U.K. Credit Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Pothalingam is an executive vice president in the London office and a portfolio manager focusing on U.K. credit investing in the European portfolio management group. He is a member of PIMCO’s ESG (environmental, social, and governance) team, focusing on corporate credit and global bond ESG portfolios, and is PIMCO’s elected representative on the ICMA’s Green Bond Principles and Social Bond Principles Executive Committee. Prior to joining PIMCO in 2009, he was a credit fund manager with Threadneedle Investments in London. Before that, he was with Lehman Brothers in London as executive director, responsible for sterling credit trading. He previously spent 11 years with HSBC Holdings in London and Tokyo. He has 36 years of investment and financial services experience and holds an undergraduate degree from University College London and a diploma (niveau moyen) from L'Institut D'Etudes Francaises de Tours. He holds the Investment Management Certificate and is a member of the UK Society of Investment Professionals.