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0-5 Year High Yield Corp Bond Pimco ETF (HYS)

0-5 Year High Yield Corp Bond Pimco ETF (HYS)
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Overview

Name PIMCO 0-5 Year US High Yield Corporate Bond Index ETF
Fund Family PIMCO ETFs
Underlying Index BofA ML 0-5 Year US High Yield Constrained Index
Inception Date 06/17/11
First Trade Date 06/17/11
Leverage Long
Asset Class Fixed Income

Description:

The PIMCO 0-5 Year High Yield Corporate Bond Index ETF is designed to capture, before fees and expenses, continuous exposure to the short maturity segment of the high yield corporate bond sector. The fund tracks The BofA Merrill Lynch 0-5 Year US High Yield Constrained Index, and aims to achieve the yield, volatility level, and low or negative correlations with other asset classes inherent in short maturity high yield.

Investment Information

Alpha 5.06
60-Month Beta 0.37
Standard Deviation -0.28
Shares Outstanding, K 12,950.00
Managed Assets, $K 1,200,327.80 K
Net Asset Value 92.69
First Trade Price 100.15
P/E Ratio 0.00
Management Fee 0.55%
Options Yes
Latest Dividend 0.600
Last Dividend Date 05/01/24
Annual Dividend 6.40
Annual Dividend Yield 6.90%
1-Year Return 2.80%
3-Year Return -6.14%
5-Year Return -6.75%
Management Expense Ratio 0.55%

HYS Dividends

Date Value
05/01/24 $0.6000
04/01/24 $0.5600
03/01/24 $0.5700
02/01/24 $0.5300
12/28/23 $0.5600
12/01/23 $0.5100
11/01/23 $0.5300
10/02/23 $0.5500
09/01/23 $0.4900
08/01/23 $0.4600
07/03/23 $0.5200
06/01/23 $0.5200
05/01/23 $0.4800
04/03/23 $0.4800
03/01/23 $0.4500
02/01/23 $0.4400
12/29/22 $0.5100
12/01/22 $0.4500
11/01/22 $0.3800
10/03/22 $0.4400
09/01/22 $0.4200
08/01/22 $0.3500
07/01/22 $0.4000
06/01/22 $0.3400
05/02/22 $0.3300
04/01/22 $0.3000
03/01/22 $0.2900
02/01/22 $0.2600
12/01/21 $0.2600
11/01/21 $0.2600
10/01/21 $0.2600
09/01/21 $0.2600
08/02/21 $0.3100
07/01/21 $0.3200
06/01/21 $0.3300
05/03/21 $0.3600
04/01/21 $0.3700
03/01/21 $0.3600
02/01/21 $0.3600
12/30/20 $0.4100
12/01/20 $0.3700
11/02/20 $0.3500
10/01/20 $0.3900
09/01/20 $0.3600
08/03/20 $0.3100
07/01/20 $0.3500
06/01/20 $0.4000
05/01/20 $0.3400
04/01/20 $0.3600
03/02/20 $0.3800
02/03/20 $0.4200
12/30/19 $0.4000
12/02/19 $0.4400
11/01/19 $0.3900
10/01/19 $0.3800
09/03/19 $0.4700
08/01/19 $0.4200
07/01/19 $0.4000
06/03/19 $0.4300
05/01/19 $0.4200
04/01/19 $0.4000
03/01/19 $0.4000
02/01/19 $0.4200
12/28/18 $0.3200
12/03/18 $0.4500
11/01/18 $0.4500
10/01/18 $0.3600
09/04/18 $0.4200
08/01/18 $0.4000
07/02/18 $0.4200
06/01/18 $0.4000
05/01/18 $0.3900
04/02/18 $0.3400
03/01/18 $0.3850
02/01/18 $0.3950
12/28/17 $0.3860
12/01/17 $0.3830
11/01/17 $0.3800
10/02/17 $0.4000
09/01/17 $0.4100
08/01/17 $0.4100
07/03/17 $0.4300
06/01/17 $0.4330
05/01/17 $0.4270
04/03/17 $0.4550
03/01/17 $0.4520
02/01/17 $0.4630
12/28/16 $0.4500
12/01/16 $0.4100
11/01/16 $0.4400
09/01/16 $0.4500
06/01/16 $0.3960
03/01/16 $0.4300
02/01/16 $0.4300
12/29/15 $0.4100
12/01/15 $0.4300
11/02/15 $0.4300
09/30/15 $0.4100
08/31/15 $0.3900
07/31/15 $0.4100
06/30/15 $0.4200
05/29/15 $0.3800
04/30/15 $0.3800
03/31/15 $0.3600
02/27/15 $0.3800
01/30/15 $0.3800
12/29/14 $0.4700
12/10/14 $0.9565
11/28/14 $0.3800
10/31/14 $0.3600
09/30/14 $0.3400
08/29/14 $0.3400
07/31/14 $0.3400
06/30/14 $0.3600
05/30/14 $0.3900
04/30/14 $0.3860
03/31/14 $0.3700
02/28/14 $0.3700
01/31/14 $0.4000
12/27/13 $0.4000
12/11/13 $0.2542
11/29/13 $0.4300
10/31/13 $0.4050
09/30/13 $0.3900
08/30/13 $0.3700
07/31/13 $0.3200
06/28/13 $0.3600
05/31/13 $0.3600
04/30/13 $0.3500
03/28/13 $0.3900
02/28/13 $0.4100
01/31/13 $0.4400
12/27/12 $0.4800
11/30/12 $0.4500
10/31/12 $0.4300
09/28/12 $0.4400
08/31/12 $0.5400
07/31/12 $0.5000
06/29/12 $0.4850
05/31/12 $0.4600
04/30/12 $0.4300
03/30/12 $0.4000
02/29/12 $0.4700
01/31/12 $0.4800
12/28/11 $0.4800
11/30/11 $0.5349
10/31/11 $0.4138
09/30/11 $0.5061
08/31/11 $0.5206
07/29/11 $0.4183
06/30/11 $0.1625
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