PineBridge Investments

  • 501-1,000 employees
  • Financial Services

PineBridge Investments

PineBridge Investments is a private, global asset manager focused on active, high-conviction investing. We draw on the collective power of our experts in each discipline, market, and region of the world through an open culture of collaboration designed to identify the best ideas. Our mission is to exceed clients’ expectations on every level, every day. As of 31 December 2023, the firm managed US$157.1 billion across global asset classes for sophisticated investors around the world.

We aim to foster a globally inclusive workplace, contribute to the communities in which we live and work, and invest in companies that are committed to improving their social and environmental responsibility as they achieve financial success alongside investors.

Expertise

Asset Management, Investment Management, Equities, Fixed Income, Private Equity, and Multi Asset

Tariffs May Create Opportunities in Investment Grade Credit, But Tread Carefully
  • 2 days ago

We answer investors’ frequently asked questions on the Trump administration’s tariffs and their impact on investment grade credit.

Investment Strategy Insights: The US Hands the Fiscal Baton to Germany and China
  • 3 days ago

We expect to see a shift in the global fiscal mix but a continuation of higher growth, inflation, investment, and yields – still powered by fiscal policy.

2025 Global Insurance Investment Outlook: Keep Nimble, Stay Active
  • 4 days ago

As insurance investors brace for policy uncertainty and geopolitical turbulence, we believe diversification and selective, active risk-taking will be key.

A US Growth Scare, the Bund Yield Forecast, and the Tariffs’ Inflation Impact
  • 11 days ago

We discuss a US slowdown and growth scare along with bund yield forecasts, currency implications, and the economic outlook for Europe and the US.

Riding Out Equity Market Volatility in a New Policy Regime
  • 17 days ago

With equity markets whipsawing amid trade wars and geopolitical tensions, how can investors mitigate risk and build value? Our podcast looks at some answers.

Tariff Wars: Credit Opportunities Amidst the Stagflationary Shock?
  • 21 days ago

The impact of US tariffs varies widely across countries and sectors, making credit selection crucial.

How CLO Equity and Private Equity Can Work Together in a Diversified Portfolio
  • 23 days ago

CLO equity and private equity can offer complementary advantages in different market environments – making them a potentially winning combination for investors.

2030 Vision: Global Equity Investing With a Longer-Term Perspective
  • 28 days ago

Sell-side analysts focus most of their attention on near-term quarterly earnings. This helps create “white space” for managers taking a longer-term view.

Investment Strategy Insights: Artificial Intelligence, the Next Wave in the Productivity Supercycle
  • 28 days ago

AI could reshape the global economic regime, and we believe it can propel another wave of productivity improvement. Here’s what it means for investors.