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Viewpoints Asia Market Outlook 2022: Diversified Opportunities Amid Volatility Asia Market Outlook 2022: Diversified Opportunities Amid Volatility Active management appears especially important during this fast-moving cycle when dislocations are likely and capturing resulting opportunities can be key to producing alpha.
Understanding Investing Reading the Road Ahead: Behind the Scenes at PIMCO’s Economic Forums(video) Reading the Road Ahead: Behind the Scenes at PIMCO’s Economic Forums Before Economic Forums were mainstream on Wall Street, our investment professionals were gathering to identify economic and market trends for our clients. Decades later, the cornerstone of our process is stronger and more important than ever.
Viewpoints What China’s Odyssey Towards “Common Prosperity” Means for Portfolios What China’s Odyssey Towards “Common Prosperity” Means for Portfolios China’s regulatory crackdown focuses on specific sectors. Market volatility will likely be temporary, and long-run prospects for active investors remain robust.
Blog Idiosyncratic Risk in China Real Estate: What Does it Mean for the Property Market and Banks? Idiosyncratic Risk in China Real Estate: What Does it Mean for the Property Market and Banks? We do not expect widespread contagion across China’s real estate or banking sectors despite the challenging outlook.
Viewpoints China’s Decarbonization Goal Won’t Dent its Appetite for Commodities Any Time Soon China’s Decarbonization Goal Won’t Dent its Appetite for Commodities Any Time Soon China expected to boost demand for some commodities as it transitions to a carbon-neutral economy.
Stephen Chang Portfolio Manager, Asia Share Share Share via LinkedIn Share via Facebook Share via Twitter Share via Email Add Add Download Download Print Print Mr. Chang is a managing director and portfolio manager in the Hong Kong office, managing Asia portfolios and developing PIMCO’s business in this space. He is also a member of the PIMCO Multicultural Global Steering Committee. Prior to joining PIMCO in 2018, he was a managing director and head of Asian fixed income for JPMorgan Asset Management, responsible for managing bond portfolios in the region and setting macro and asset allocation strategy as part of the broader emerging market debt team. Previously, Mr. Chang was a senior interest rates and derivatives trader with the Royal Bank of Scotland in Hong Kong and a global fixed income portfolio manager at Fischer Francis Trees & Watts, Inc. in New York. He has 26 years of investment experience and holds a master’s degree in management science from Stanford University and an undergraduate degree in computer science from Cornell University.