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

EM Debt Outlook: From East to West
  • 6 days ago

We discuss the impact of US tariffs, regional corporate sentiment, and the macroeconomic developments shaping the second half of the year.

2025 Midyear Equity Outlook: Riding the Waves of Volatility
  • 15 days ago

The first half of 2025 has been a wild and unsettling ride for equity investors. Markets grew increasingly volatile leading up to President Trump’s 2 April tariff announcements and then plummeted a...

2025 Midyear Fixed Income Outlook: Going Global Amid Deglobalization
  • 15 days ago

The corporate credit markets have remained surprisingly calm relative to rates and equities amid the recent tariff rhetoric and policy-related chaos, with support from a solid foundation as the eco...

2025 Midyear Multi-Asset Outlook: A World With More ‘Brass Rings’
  • 15 days ago

After several years in which global investors piled into US assets – on the premise of US exceptionalism, and with few other compelling opportunities – the narrative in 2025 has shifted to include...

From Policy Fog to Yield Clarity: A Mid-Year Market Check-In
  • 23 days ago

We discuss market volatility, policy unpredictability, and why US Treasury yields are drawing investor interest.

Investment Strategy Insights: US Exceptionalism – Shaken But Not Stirred
  • 1 month ago

After chatter about “US exceptionalism” reached fever pitch at the end of 2024, a sudden shift to the opposite view has become the market’s narrative. Erratic trade policy and a spike in tariffs, a...

Leveraged Finance Asset Allocation Insights: Upside Remains After Performance Bounces Back
  • 1 month ago

The credit market has erased nearly all of its year-to-date weakness, and we see further upside potential for high yield bonds, bank loans, and CLO tranches.

Beyond Peak Uncertainty: Rethinking the US Exceptionalism
  • 1 month ago

The “death of US exceptionalism” seems greatly exaggerated. Despite volatility, we see opportunity—and a US economy that’s still poised to outperform.

Beyond Peak Uncertainty: Rethinking US Exceptionalism
  • 1 month ago

The “death of US exceptionalism” seems greatly exaggerated. Despite volatility, we see opportunity—and a US economy that’s still poised to outperform.