Our Strategies

PPM is soley focused
on performance

We embrace market inefficiencies and volatility which is important for creating value for clients, with a strategic commitment to a relative value, fundamentals-based investment style. This approach shifts tactically in response to changing relative valuations, market environments and business cycles. In tandem with risk management, our investment team strives to ensure that portfolios are balanced and designed for stable, long-term performance.
Donut Chart showing firm AUM of $117 Billion

Our Insights

Combining experience and innovative thinking, PPM delivers insightful commentary across the industry.

Our Funds

Introducing our new family of fixed income and equity institutional mutual funds.

(1) As of 31 December 2018. Assets under management (AUM) include assets of PPM Finance Inc. (PPMF), an affiliate that manages assets that are not securities, such as commercial mortgage loans and certain real estate investments. PPMF managed approximately $9.16 billion and PPM managed $108.24 billion. (2) Commercial mortgage loans and other real estate investments are managed by PPM’s affiliate, PPMF.

Before investing, investors should carefully read the prospectus and/or summary prospectus and carefully consider the investment objectives, risks, charges and expenses. For this and more complete information about the fund(s), investors should ask their representative for prospectus/summary prospectus or visit https://www.ppmamerica.com/ppmfunds.

Mutual funds are issued by PPM America, Inc. PPM Funds are distributed by Jackson National Life Distributors LLC, member FINRA.

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