Fund: PIMHYCB

PIMCO US Short-Term High Yield Corporate Bond Index Source UCITS ETF USD Acc
IE00BVZ6SQ11
30-04-2015
Bond
Bonds - High Yield - Short Term - USD
PIMCO Global Advisors (Ireland) Limited
PIMCO Europe Ltd
Management Team
USD
1,000
5%
EIC Fund Rating (2020)
Rok Rated portolio Ref. ccy Rating category Rf (p.a.) Rm (p.a.) Return (p.a.) Correlation Beta Alpha (p.a.) Rank Stars
2020 PIMHYCB USD BOND-HY-ST-USD 0.3675% 3.82% 3.91% 0.98 1.13 -0.36% 2/2
2019 PIMHYCB USD BOND-HY-ST-USD 2.1319% 9.54% 9.92% 0.95 1.26 -1.53% 2/2
2018 PIMHYCB USD BOND-HY-ST-USD 1.8344% -0.31% -0.88% 0.98 1.30 0.08% 1/2
2017 PIMHYCB USD BOND-HY-ST-USD 1.0263% 4.32% 5.12% 0.96 1.21 0.10% 1/2
155.3250
05-12-2024
-0.0290%
Quick compare
1M 3M 6M 9M 1R 3R p.a. 5R p.a. 7R p.a. 10R p.a. od vnizku p.a.
Výkonnosť fondu 1.38% 2.77% 6.39% 8.01% 11.46% 5.35% 4.99% 4.63% - N/A
Priemerná výkonnosť (36 meraní) 0.38% 3.86% 3.33% 3.40% -
Volatilita od priemernej výkonnosti 2.94% 10.48% 2.54% 1.51% -
Rozloženie aktív
Long Short Net
Stock 0.31% 0.31%
Bond 101.95% 1.87% 100.09%
Other 0.08% 0.08%
Cash 11.29% 11.77% -0.48%
Veľkosť fondu
Aktíva3,021 mil.
Počet akcíí3
Počet dlhopisov878
Nákladovosť fondu
Priebež. popl.0.55
 z toho Mng. popl.0.55
Výk. prémia
Trans. popl.0.08
Výnosovosť fondu
Dividenda
Dividendový výnos
Rozhodný dátum
Frekvencia výplaty
Dlhopisové portfólio
Government 4.85
Bank loans 0.31
Corporate 92.35
Mortgage 0.14
Derivatives 1.97
Výnos do splatnosti p.a.7.74
Modifikovaná durácia2.99
Kreditné rozloženie
AAA 12.57
AA 0.04
A 0.03
BBB 4.11
BB 45.52
B 25.78
Below B 11.95
Not Rated 0.00
Regionálne rozloženie
United States
Canada
Latin America
United Kingdom
Eurozone 0.31%
Europe - ex Euro
Europe - Emerging
Africa
Middle East
Japan
Australasia
Asia - Developed
Asia - Emerging
Emerging Market
Developed Country 0.31%
Not Classified
Top 10 pozícií
SpoločnosťSubsektorVáha SpoločnosťSubsektorVáha
5 Year Treasury Note Future Dec 24 6.59% Directv Financing LLC/Directv Financing Co-Obligor Inc. 5.875% 0.59%
AAdvantage Loyalty IP Ltd/ American Airlines Inc 5.75% 0.53% DISH Network Corporation 11.75% 0.51%
Uniti Group LP/Uniti Fiber Holdings Inc/Uniti Group Finance 2019 Inc/CSL Ca 0.48% Venture Global LNG Inc. 8.125% 0.48%
Venture Global LNG Inc. 9.5% 0.46% Carnival Corporation 5.75% 0.44%
Medline Borrower LP 3.875% 0.43% Prime Healthcare Services Inc 9.375% 0.42%