DEEP EXPERTISE ACROSS GLOBAL PUBLIC & PRIVATE MARKETS
Over several market cycles, PGIM has been consistent in its assessment of a low-for-long interest rate environment. With over a trillion dollars worth of assets invested in yield-seeking strategies across both public and private markets, PGIM has strategic and substantial long-running relationships with some of the largest institutional investors globally. Meeting the income requirements of our clients in a low-rate environment requires us to have meaningful coverage and practical knowledge of country, regional, and local markets and sectors. This results in thoughtful insight and real-time context in effectively sourcing, structuring and executing investment strategies that deliver the income our clients seek.
PROVEN TRACK RECORD SEEKING OPPORTUNITIES ACROSS THE CREDIT SPECTRUM
With more than 1,300 investment professionals, including 500 analysts, quantitative researchers and risk management specialists, and economists, our businesses are able to cover more than 100 different countries, and have built-in processes that support in-depth assessments of company balance sheets and performance across global sectors. We continually debate and search for opportunities across global markets and the credit spectrum. Our client focus requires our teams to consider how to properly structure opportunities in order to make them accessible to clients depending on their unique circumstances.
PGIM is steadfast in its commitment as a fiduciary. Our autonomous managers access the resources of a trillion-dollar firm while also implementing their own distinct risk management frameworks and processes. We complement the work conducted by our risk management systems with the analysis of our investment teams to ensure best-in-class execution. Our durable, robust frameworks have been tested across market cycles and interest-rate regimes across regions. This enables PGIM to apply real world parameters to our own proprietary models that incorporate expectations for future interest-rate environments. Our deep expertise across asset classes and investment vehicles enable us to appropriately structure strategies and covenants in a risk-aware manner while also being mindful of managing interest, credit, default and counter-party risk.
ROBUST RISK MANAGEMENT INFRASTRUCTURE, PROCESSES & CULTURE