Investment-Grade Credit

U.S. Corporate

Investment Objective

PGIM Fixed Income’s U.S. Corporate Fixed Income Strategy is a single sector product, investing primarily in the investment grade corporate fixed income market. The Strategy is managed to outperform an investment-grade corporate market benchmark over a full market cycle.1,2

Available Vehicles

Separate Account

Mutual Fund

Investment Philosophy

PGIM Fixed Income constructs and manages portfolios in the U.S. Corporate Fixed Income Strategy based on the philosophy that bottom-up industry and issue research and security selection, including relative value trading, generate high information ratios and, when executed successfully, can provide sustainable excess return over a corporate market benchmark.

Individual security selection and subsector/industry rotation comprise the majority of alpha in the U.S. Corporate Fixed Income Strategy.

Investment Process

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

Senior Portfolio Managers

Co-Head of U.S. Investment Grade Corporate Bonds

Co-Head of U.S. Investment Grade Corporate Bonds

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

Bio Contact

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