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Multi-sector

Robust investment capabilities across a wide spectrum of credit

As market conditions continue to fluctuate, finding investment managers with the scale, breadth, and experience to navigate market intricacies is critical. As one of the largest institutional investors in the world1, we face the same opportunities and challenges of an uncertain environment that impact the clients we serve.

We are a global specialist credit manager underpinned by extensive fundamental research from one of the industry’s largest credit research teams1. Our fully integrated platform covers the entirety of the global fixed income markets and enables us to find relative value opportunities across the credit sectors and nimbly implement them in our clients’ portfolios.

We rely on a singular investment philosophy and process and maintain a highly effective team structure, which is specialized by sector and function. Our five broad sector teams – investment grade credit, municipals, leveraged finance, securitized credit and non-U.S. / emerging markets – contain dedicated portfolio managers, research analysts and traders who efficiently navigate the breadth of the global fixed income markets and dive deep within sectors in search of attractive relative value opportunities.

volatility yield Chart

Our multi-sector fixed income capabilities

Short-Term Bond
Shorter-term, diversified portfolio of primarily higher quality fixed income securities
Core Bond
Traditional fixed income portfolio primarily invested in U.S investment-grade securities
Core Plus Bond
Traditional fixed income portfolio with flexibility to invest up to 30% in higher yielding “plus” sector bonds
Credit Income
Broadly diversified credit sector portfolio that focuses on below- investment-grade securities
Flexible Income
Flexible portfolio of corporate securities across the full spectrum of companies’ capital structure
Strategic Income
Broadly diversified, multi-sector bond portfolio that invests across primarily U.S. investment-grade and below-investment-grade securities
Global Strategic Income
Broadly diversified, global multi-sector bond strategy that seeks total return through a diversified portfolio of investment grade and high yield debt securities from U.S. and non-U.S. issuers
Multi-Asset Credit
Actively managed strategy that offers diversified exposure to lower rated public fixed income credit sectors and the flexibility to add less liquid structures as opportunities arise

Latest insights

Macro outlook The Fed’s strategic pause: the calm before the cuts
Chair Powell emphasized that conditions remain “highly uncertain” and that “the appropriate thing to do is hold where we are.”
Fixed income The new architecture of institutional credit
How investors and issuers are adapting to structural changes shaping the next era of credit.
Weekly commentary Buffer more, suffer less? Preferreds may help.
Israel/Iran conflict drives volatility.
Contact us
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Ken Hudson
Managing Director, Institutional Business Development
131 March 2025
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