Active Management Across the Range of Market Environments


Pioneer Strategic Income Fund

Y-Share: STRYX | A-Share: PSRAX 
C-Share: PSRCX | K-Share: STRKX | R-Share: STIRX

Pioneer Strategic Income Fund is a multi-sector bond fund that invests across a broad range of global fixed income sectors, including core US investment grade, non-investment grade, non-US country, currency and floating rate asset classes. The Fund’s benchmark is the Bloomberg US Universal Index. 


Pioneer Strategic Income Fund adheres to three core investment tenets: value, diversification and downside risk focus.



The Fund seeks to invest in sectors that offer attractive relative value, based on fundamentals and on spread relationships to long-term averages. Value investing seeks to capitalize on the benefits of rebalancing through dynamic allocation, which can make a significant contribution to portfolio returns over time.

Broad Diversification

The Fund’s diversification level seeks to benefit from incorporating a broad range of factors and sectors, which helps it pursue attractive risk-adjusted returns. Diversification available from asset classes with lower correlation1 to core sectors can help reduce volatility and downside risk.

Downside Risk Focus

The Fund has been successful in limiting downside risk and avoiding permanent impairment of capital has reflected its disciplined approach to limiting issuer concentrations combined with strong fundamental credit research, avoiding at-risk sectors and avoiding market value loss in rising interest rate environments. 

How Pioneer Strategic Income Fund is Actively Managed

Pioneer Strategic Income Fund has the flexibility to actively allocate assets among a diverse range of global fixed income sectors, seeking the best opportunities worldwide to help diversify the portfolio, enhance return potential & limit downside risk.

Explore our active sector allocations among various fixed income asset classes.