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Pimco Managed Conservative Bond Pool ETF (PCON.TO)

Pimco Managed Conservative Bond Pool ETF (PCON.TO)
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Overview

Name PIMCO Managed Conservative Bond Pool
Fund Family PIMCO Canada Corp
Underlying Index Bloomberg Barclays Global Aggregate 1%u20113 Year Bond Index (CAD Hedged)
Inception Date 02/14/20
First Trade Date 02/20/20
Leverage Long
Asset Class Fixed Income

Sector:

N/A

Description:

The PIMCO Managed Conservative Bond Pool follows PIMCO's forward-looking investment process to balance the trade-offs offered by today's market. The Pool offers access to PIMCO in one-ticket and can serve as a core fixed income holding, delivering globally diversified bond strategies managed by one of the largest active fixed income managers in the world. The Fund allocates and rebalances across the underlying funds based on PIMCO's assessment of the fixed income markets and the underlying funds' ability to help the Fund meet its stated investment objectives.

Investment Information

60-Month Beta 0.20
Standard Deviation +1.73
Shares Outstanding, K 1,250.00
Managed Assets, $K 22,050.00 K
Net Asset Value 17.60
First Trade Price 20.00
Management Fee 0.59%
Options No
Latest Dividend 0.559
Last Dividend Date 12/30/25
Annual Dividend 1.10
Annual Dividend Yield 6.22%
1-Year Return -1.84%
3-Year Return 0.00%
5-Year Return 0.00%
RRSP Eligible No

PCON.TO Dividends

Date Value
03/23/26 $0.0990
12/30/25 $0.5591
09/19/25 $0.1768
06/20/25 $0.2180
03/21/25 $0.1511
12/30/24 $0.6786
09/19/24 $0.2357
06/20/24 $0.2123
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