Investor Day
2019

PIMCO’s recently distributed Secular Outlook identified six disruptive forces that will affect financial markets over the next three to five years. Against this backdrop, our Investor Day will highlight four sustainable strategies that can help you in this challenging environment.

Senior PIMCO portfolio managers and investment strategies will discuss:

Income: How to reduce risk without compromising returns
Credit & Emerging Markets: Why selection is more important than ever
Dynamic strategies: For those with ability and willingness to be more flexible
ESG: PIMCO’s approach

Speakers

PIMCO Investor Day Speakers

Featured Expert

Ryan P. Blute 

Head of Global Wealth Management, Europe

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Featured Expert

Berdibek Ahmedov 

Product Strategist, Global and Real Return

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Featured Expert

Lupin Rahman 

Head of EM Sovereign Credit

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Featured Expert

Christian Schuetz 

Credit Analyst, European Utilities and Energy

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Featured Expert

Tina Adatia 

Fixed Income Strategist

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Featured Expert

Daniel Phillipson 

Head of Product Strategy, EMEA

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Featured Expert

Eve Tournier 

Head of European Credit Portfolio Management

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Featured Expert

Yacov Arnopolin 

Portfolio Manager, Emerging Markets

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Featured Expert

Matthew Livas 

Credit Product Strategist

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Agenda

Investor Day – Monday, 14 October

Registration opens - lunch service

Be resilient and flexible in uncertain periods
Ryan Blute, Managing Director, Head of Global Wealth Management, EMEA

Be flexible to generate responsible income
Berdibek Ahmedov, Multi-Sector Fixed Income Strategist

ESG: How to make an impact with Fixed Income investing
Lupin Rahman, Global Head of Sovereign Credit and ESG Integration
Christian Schütz, Credit Analyst, European Utilities & Energy Sectors
Tina Adatia, Global Fixed Income Strategist

Coffee Break

Dynamic strategies: Flexibility to mind the holes and pick your spots
Dan Phillipson, Head of Product Strategy EMEA

Credit & Emerging Markets: Diversification is key in late cycle credit markets
Eve Tournier, Managing Director, Global Head of Multi-Sector Credit Portfolios
Yacov Arnopolin, Senior Portfolio Manager, Emerging Markets External Debt
Matt Livas, Credit Fixed Income Strategist (Moderator)

Closing remarks
Ryan Blute, Managing Director, Head of Global Wealth Management, EMEA

Drinks

Resources

Presentations

 

Be resilient and flexible in uncertain periods
Ryan Blute, Head of Global Wealth Management, EMEA

Be flexible to generate responsible income
Berdibek Ahmedov, Multi-Sector Fixed Income Strategist

ESG: How to make an impact with Fixed Income investing
Lupin Rahman, Global Head of Sovereign Credit and ESG Integration, Christian Schütz, Credit Analyst, European Utilities & Energy Sectors, Tina Adatia, Global Fixed Income Strategist (Moderator)

 

 

Dynamic strategies: Flexibility to mind the holes and pick your spots
Dan Phillipson, Head of Product Strategy EMEA

Credit & Emerging Markets: Diversification is key in late cycle credit markets
Eve Tournier, Global Head of Multi-Sector Credit, Yacov Arnopolin, Emerging Markets External Debt, Matt Livas, Credit Fixed Income Strategist (Moderator)