FEG INSIGHT BRIDGE PODCAST

Inside The Curve with Dan Ivascyn

Written by FEG | August 30, 2024

On this episode of the FEG Insight Bridge Podcast, we go inside the curve with Dan Ivascyn, CIO of PIMCO, one of the world's largest asset managers. Tune in to hear from a true legend in the fixed income fieldyou won't want to miss it!


CIO Greg Dowling welcomes Dan Ivascyn, CIO of PIMCO, on this episode of the FEG Insight Bridge Podcast, as Dan reflects on his 26-year career at PIMCO, from trading structured products to leading their portfolio management. Dan discusses the firm’s evolution, the shift from traditional to alternative fixed income strategies, and the current appeal of high-quality bonds. Hear insights on PIMCO’s secular forums, Federal Reserve policies, and the potential impact of political scenarios like a Harris vs. Trump presidency. The episode also covers global volatility, debt levels, and emerging market debt opportunities. 

Key Takeaways:

  • Dan Ivascyn details how PIMCO has evolved from a focus on traditional fixed income to incorporating alternative strategies, adapting to the complexities of global markets over the past 26 years.
  • This episode explores the significant shift in the fixed income industry from high interest rates to a current environment of higher nominal yields, including a return to traditional fixed income opportunities and the comparative value of private credit.
  • Dan Ivascyn shares his views on the Federal Reserve’s performance and expectations regarding future rate cuts, the impact of political factors on investing, and the broader implications of global economic volatility and national debt levels.




Episode Chapters
 0:00 Introduction
 0:30 Episode Introduction
 1:11 Dan Ivascyn and the Fixed Income Hall of Fame
 4:42 The Evolution of PIMCO
 8:47 Changes in the Fixed Income Industry
 12:04 The Role of Private Credit and Alternatives
 15:24 Insights from PIMCO’s Secular Forum
 19:57 Assessing Fed Policy and Market Expectations
 23:24 Market Optimism and Political Impacts
 28:39 Global Volatility and Debt
35:11 Credit Markets: High Yield, Bank Loans, and Structured Finance
 39:52 Emerging Markets and Future Outlook
41:33 Personal Insights and Closing Thoughts