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Pimco Active Bond TR ETF (BOND)

Pimco Active Bond TR ETF (BOND)
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Overview

Name PIMCO Total Return Active ETF
Fund Family PIMCO ETFs
Underlying Index Barclays U.S. Aggregate Index
Inception Date 03/01/12
First Trade Date 03/01/12
Leverage Long
Asset Class Fixed Income

Description:

The PIMCO Total Return Active ETF is a diversified portfolio of high quality bonds that is actively managed in an effort to maximize return in a risk-managed framework. BOND invests primarily in investment grade debt securities, and discloses all portfolio holdings on a daily basis. The average portfolio duration normally varies within two years (plus or minus) of the benchmark Bloomberg Barclays U.S. Aggregate Index. The fund offers a core bond strategy that is designed to capitalize on opportunities across multiple sectors of the fixed income market.

Investment Information

Alpha 0.37
60-Month Beta 0.18
Standard Deviation +1.17
Shares Outstanding, K 45,990.00
Managed Assets, $K 4,140,020.00 K
Net Asset Value 90.02
First Trade Price 100.10
P/E Ratio 0.00
Management Fee 0.55%
Options Yes
Latest Dividend 0.375
Last Dividend Date 05/01/24
Annual Dividend 4.03
Annual Dividend Yield 4.48%
1-Year Return -3.35%
3-Year Return -18.53%
5-Year Return -14.63%
Management Expense Ratio 0.55%

BOND Dividends

Date Value
05/01/24 $0.3750
04/01/24 $0.3700
03/01/24 $0.3600
02/01/24 $0.3450
12/28/23 $0.3400
12/01/23 $0.3250
11/01/23 $0.3200
10/02/23 $0.3400
09/01/23 $0.3300
08/01/23 $0.2900
07/03/23 $0.3300
06/01/23 $0.3100
05/01/23 $0.2950
04/03/23 $0.3000
03/01/23 $0.2900
02/01/23 $0.2800
12/29/22 $0.2900
12/01/22 $0.2800
11/01/22 $0.2700
10/03/22 $0.2700
09/01/22 $0.2700
08/01/22 $0.2700
07/01/22 $0.2600
06/01/22 $0.2500
05/02/22 $0.2500
04/01/22 $0.2400
03/01/22 $0.2300
02/01/22 $0.2300
12/30/21 $0.2300
12/01/21 $0.2300
11/01/21 $0.2300
10/01/21 $0.2400
09/01/21 $0.2400
08/02/21 $0.2400
07/01/21 $0.2400
06/01/21 $0.2400
05/03/21 $0.2400
04/01/21 $0.2300
03/01/21 $0.2300
02/01/21 $0.2300
12/30/20 $0.2300
12/01/20 $0.2300
11/02/20 $0.2300
10/01/20 $0.2300
09/01/20 $0.2300
08/03/20 $0.2440
07/01/20 $0.2500
06/01/20 $0.2400
05/01/20 $0.2600
04/01/20 $0.2800
03/02/20 $0.2900
02/03/20 $0.2900
12/30/19 $0.2900
12/02/19 $0.2900
11/01/19 $0.3000
10/01/19 $0.3000
09/03/19 $0.3000
08/01/19 $0.3100
07/01/19 $0.3000
06/03/19 $0.3000
05/01/19 $0.3000
04/01/19 $0.3100
03/01/19 $0.3200
02/01/19 $0.3200
12/28/18 $0.3000
12/03/18 $0.3200
11/01/18 $0.3200
10/01/18 $0.3000
09/04/18 $0.3000
08/01/18 $0.2900
07/02/18 $0.3000
06/01/18 $0.3000
05/01/18 $0.2950
04/02/18 $0.3500
03/01/18 $0.2200
02/01/18 $0.2700
12/28/17 $0.2690
12/01/17 $0.2750
11/01/17 $0.2750
10/02/17 $0.2900
09/01/17 $0.2900
08/01/17 $0.2600
07/03/17 $0.2300
06/01/17 $0.2300
05/01/17 $0.2000
04/03/17 $0.2400
03/01/17 $0.2300
02/01/17 $0.2500
12/28/16 $0.6800
12/01/16 $0.2400
11/01/16 $0.1900
09/01/16 $0.3000
06/01/16 $0.1200
03/01/16 $0.1600
02/01/16 $0.2000
12/01/15 $0.3900
11/02/15 $0.3900
09/30/15 $0.3900
08/31/15 $0.3700
07/31/15 $0.3000
06/30/15 $0.3000
05/29/15 $0.3000
04/30/15 $0.2200
03/31/15 $0.1800
02/27/15 $0.1600
01/30/15 $0.1700
12/29/14 $1.7000
11/28/14 $1.1200
10/31/14 $0.4000
09/30/14 $0.2750
08/29/14 $0.3000
07/31/14 $0.2800
06/30/14 $0.0500
05/30/14 $0.0500
04/30/14 $0.0500
03/31/14 $0.0500
02/28/14 $0.0500
01/31/14 $0.1000
12/27/13 $0.1400
12/11/13 $0.4368
11/29/13 $0.1900
10/31/13 $0.2000
09/30/13 $0.2500
08/30/13 $0.3000
07/31/13 $0.2550
06/28/13 $0.2200
05/31/13 $0.2250
04/30/13 $0.2100
03/28/13 $0.1800
02/28/13 $0.1740
01/31/13 $0.1740
12/27/12 $0.1800
12/12/12 $0.8826
11/30/12 $0.2000
10/31/12 $0.2000
09/28/12 $0.1950
08/31/12 $0.2000
07/31/12 $0.1800
06/29/12 $0.2100
05/31/12 $0.2000
04/30/12 $0.1800
03/30/12 $0.1200
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