The Euro Credit Fund is an actively managed portfolio consisting primarily of high quality Euro-denominated corporate and credit instruments. The fund is diversified broadly across industries, issuers, and regions on the basis of PIMCO’s top-down and bottom-up processes.
The fund offers diversification benefits and greater income potential relative to government bonds while seeking to retain many of the defensive features of government bonds.
The Fund Advantage
The fund looks to benefit from PIMCO’s investment process, which combines our global top-down views on the macroeconomic environment with independent bottom-up security analysis. PIMCO’s investment team has the experience and depth to actively manage a broad and diversified opportunity set.