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Experts

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Graham A. Rennison
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Mr. Rennison is a senior vice president in the quantitative portfolio management group in the Newport Beach office, focusing on multi-asset-class systematic strategies. He was previously a member of the client analytics group, advising clients on strategic asset allocation. Prior to joining PIMCO in 2011, Mr. Rennison was a director and head of systematic strategies research at Barclays Capital in New York and also spent five years at Lehman Brothers. He has 15 years of investment experience and holds master's and undergraduate degrees in mathematics from Cambridge University, England.

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Latest Insights

May 2017 PIMCO’s Multi-Asset Alternative Risk Premia Strategy: The Search for Returns Beyond Traditional Asset Classes
Many investors are turning to alternative risk premia strategies to seek higher returns and portfolio diversification.
October 2016 The Carry and Value Pendulum
April 2015 ​Carry and Trend in Lots of Places​​
September 2014 Trend-Following Through the Rates Cycle​​​
​​​Our analysis suggests that trend-following strategies could profit in rising rate environments.
September 2012 The Volatility Risk Premium
​PIMCO believes volatility risk premium strategies can diversify a portfolio’s equity risk exposures.
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