Investment-Grade Credit

Global Corporate

Investment Objective

PGIM Fixed Income's Global Corporate Fixed Income Strategy is a single sector product that invests primarily in investment grade corporate bonds of U.S., European, and other developed country issuers. The objective of the strategy is to outperform a global corporate bond benchmark, typically the Bloomberg Barclays Global Corporate Index (Unhedged), over a full market cycle.1,2

Available Vehicles

Separate Account

Investment Philosophy

PGIM Fixed Income constructs and manages global corporate fixed income portfolios based on the philosophy that bottom-up industry and security selection generate high information ratios and, when executed successfully, can provide sustainable excess return over a global corporate bond benchmark. We follow the same philosophy in all global, U.S., and European corporate fixed income portfolios.

Investment Process

PGIM Fixed Income employs a disciplined, three-step investment process to manage Global Corporate Portfolios:

Senior Portfolio Managers

Head of European Investment Grade Corporate Bonds and Senior Portfolio Manager, Global Corporate Strategy

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