PIMCO Corporate & Income Strategy Fund

PIMCO Corporate & Income Strategy Fund (PCN)

$12.89

+0.18

(+1.42%)

Market is closed - opens 7 PM, 05 Jun 2023

Performance

  • $12.80
    $12.92
    $12.89
    downward going graph

    0.7%

    Downside

    Day's Volatility :0.93%

    Upside

    0.23%

    downward going graph
  • $10.65
    $13.67
    $12.89
    downward going graph

    17.38%

    Downside

    52 Weeks Volatility :22.09%

    Upside

    5.71%

    downward going graph

Returns

PeriodPIMCO Corporate & Income Strategy FundRussel 2000Index (Russel 2000)
3 Months
-6.41%
-7.0%
-7.0%
6 Months
-1.24%
-6.5%
-6.5%
1 Year
-13.65%
-6.8%
-6.8%
3 Years
-20.56%
24.7%
24.7%

Highlights

Analyst Recommendation

Technicals Summary

Sell

Neutral

Buy

PIMCO Corporate & Income Strategy Fund is currently in a neutral trading position according to technical analysis indicators.

Peers

Company Name1 Month6 Month1 Year3 Years5 Years
PIMCO Corporate & Income Strategy Fund
PIMCO Corporate & Income Strategy Fund
-1.01%
-1.24%
-13.65%
-20.56%
-29.03%
Company NameP/E RatioP/B RatioPEG RatioEPSROEROADiv YieldBVPS
PIMCO Corporate & Income Strategy Fund
PIMCO Corporate & Income Strategy Fund
NA
NA
NA
NA
NA
NA
NA
NA
Company NameAnalyst ViewMarket Cap5 Years Return %PE RatioProfit Margin
PIMCO Corporate & Income Strategy Fund
PIMCO Corporate & Income Strategy Fund
NA
$600.0M
-29.03%
NA
NA

Corporate Announcements

  • PIMCO Corporate & Income Strategy Fund Earnings

    PIMCO Corporate & Income Strategy Fund’s price-to-earnings ratio stands at None

    Read More

Company Information

Pimco Corporate & Income Strategy Fund seeks high current income, with a secondary objective of capital preservation and appreciation. Using a dynamic asset allocation strategy that focuses on duration management, credit quality analysis, risk management techniques, and broad diversification among issuers, industries and sectors, the multi-sector fund seeks high current income, with a secondary objective of capital preservation and appreciation. Under normal market conditions, the Fund seeks to achieve its investment objective by investing at least 80% of its net assets plus borrowings for investment purposes in a combination of corporate debt obligations of varying maturities, other corporate income-producing securities, and income-producing securities of non-corporate issuers, such as U.S. Government securities, municipal securities and mortgage-backed and other asset-backed securities issued on a public or private basis. The fund may invest a maximum of 25% of its total assets in non-U.S.-dollar-denominated securities. The fund will normally maintain an average portfolio duration of between zero and eight years. The portfolio manager attempts to identify investments that provide high current income through fundamental research, driven by independent credit analysis and proprietary analytical tools, and also uses a variety of techniques designed to manage risk and minimize exposure to issues that are more likely to default or otherwise depreciate in value over time.

Organization
PIMCO Corporate & Income Strategy Fund
CEO
Industry
Miscellaneous

FAQs