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Experts

Daniel J. Ivascyn

Group Chief Investment Officer
Mr. Ivascyn is Group Chief Investment Officer and a managing director in the Newport Beach office. He is lead portfolio manager for the firm’s income, credit hedge fund, and mortgage opportunistic strategies, and is also a portfolio manager for total return strategies. He is a member of PIMCO's Executive Committee and a member of the Investment Committee. Morningstar named him Fixed-Income Fund Manager of the Year (U.S.) for 2013, and he was inducted into the Fixed Income Analysts Society Hall of Fame in 2019. Prior to joining PIMCO in 1998, he worked at Bear Stearns in the asset-backed securities group, as well as T. Rowe Price and Fidelity Investments. He has 33 years of investment experience and holds an MBA in analytic finance from the University of Chicago Graduate School of Business and a bachelor's degree in economics from Occidental College.
Investment Strategies

We seek to capitalize on today’s attractive yields while staying mindful of economic and market uncertainties.

View From the Investment Committee

Uncertain elections and unresolved conflicts globally have heightened geopolitical tensions and risks. Group CIO Dan Ivascyn explains why active management and careful positioning are key in today’s markets.

View From the Investment Committee

We explore how bonds are re-establishing their role as portfolio diversifiers in times of market volatility and central bank divergence.

Investment Strategies

With yields high and policy rates beginning to drop, we see a compelling global opportunity set for bond investors.

Investment Strategies

Explore the opportunities we see in consumer-related lending, which offers quality and potentially a great runway for growth.

Economic and Market Commentary

Discover how starting yields in high-quality fixed income can set a solid foundation for multi-year returns and how active management works to boost these yields even further.

Economic and Market Commentary

PIMCO leverages its deep understanding of macroeconomics, policy, and industry nuance to construct portfolios primed to uncover opportunity and manage risks.

Investment Strategies

PIMCO’s portfolios are built to take advantage of structural market inefficiencies to pursue returns – giving us a potential edge versus passive peers.

Secular Outlook

The post-pandemic inflation shock and rate-hiking cycle produced a generational reset higher in bond yields, creating a compelling multiyear outlook for fixed income as inflation recedes and risks build in other markets.

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