ETF- und Fondsanbieter bei Eulerpool

PIMCO ETFs and funds. List of all 54 products.

PIMCO is one of the world's largest asset managers, specializing in investment products and services in the areas of fixed income, multi-asset, and alternatives. The company was founded in 1971 and today has a global network with clients in over 50 countries.

PIMCO offers a wide range of investment products and services, including investment funds, ETFs, individual investments, investment management, asset management, and consulting. The company also offers specialized strategies based on the growing investment needs of its clients.

PIMCO has established itself as a leading provider of fixed income products. These include government bonds, corporate bonds, mortgage bonds, money market funds, structured products, high-yield bonds, foreign currency bonds, emerging market bonds, and more.

PIMCO has developed a range of multi-asset strategies based on the specific investment needs of its clients. These include multi-asset portfolios, strategies for global equities, real estate investments, and alternative investment management.

PIMCO has also developed an alternative investment management program to provide its clients with a wide range of investment opportunities. This includes private equity, private credit, infrastructure investments, real estate investments, and more.

PIMCO's mission is to generate profits for its clients while creating an investment that is long-term and stable. With a wide range of investment products and services, PIMCO offers its clients a comprehensive portfolio tailored to their specific investment needs.

Name
Asset class
AUM
Durch. Volume
Provider
Expense Ratio
Investment Segment
Index
Launch date
NAV (Net Asset Value)
P/B
P/E
Bonds14.229 B
1.152 M
PIMCO0.35Investment Grade11/16/2009100.4400
Bonds8.365 B
2.483 M
PIMCO0.69Wide credit6/22/202326.6900
Bonds6.038 B
271,039.8
PIMCO0.7Wide credit2/29/201293.4700
Bonds2.749 B
-
PIMCO0.35Investment Grade2/22/2011100.3600
Bonds2.261 B
325,587.4
PIMCO0.35Investment Grade11/30/200952.3500
Bonds1.72 B
297,693.4
PIMCO0.15Investment GradeICE BofA Long US Treasury Principal STRIPS10/30/200969.2100
Bonds1.487 B
88,836.18
PIMCO0.56High-yieldingICE BofA US High Yield Constrained (0-5 Y)6/16/201194.4200
Bonds1.321 B
56,060.6
PIMCO0.23Investment GradeICE BofA US Corporate9/20/201098.7300
Bonds1.052 B
-
PIMCO0.19Investment Grade4/30/2015105.7100
Bonds979.587 M
42,406.18
PIMCO0.5Wide credit1/22/201495.9700
Bonds978.109 M
102,226.6
PIMCO0.35Investment Grade2/1/201050.500
Bonds863.704 M
198,346.2
PIMCO0.14Investment Grade6/22/2023100.9400
Bonds810.259 M
131,319
PIMCO0.88Investment Grade9/23/202449.700
Bonds706.245 M
-
PIMCO0.19Investment Grade1/11/201198.1400
Bonds696.631 M
69,029.66
PIMCO0.2Investment GradeICE BofA US Inflation-Linked Treasury (15+ Y)9/3/200953.9300
Bonds691.618 M
-
PIMCO0.6High-yieldingICE BofA US High Yield Constrained (0-5 Y)3/16/201273.6500
Bonds640.717 M
77,062.49
PIMCO0.63High-yielding6/8/202250.6300
Commodities585.844 M
59,179.73
PIMCO0.65Broad market5/9/202327.100
Bonds519.265 M
-
PIMCO0.55High-yieldingICE BofA US High Yield Constrained (0-5 Y)3/14/201294.800
Bonds450.112 M
39,241.98
PIMCO0.2Investment GradeICE BofA US Inflation-Linked Treasury (1-5 Y)8/20/200954.1600
Bonds445.166 M
-
PIMCO0.55High-yieldingICE BofA US High Yield Constrained (0-5 Y)4/30/2015164.3300
Stocks383.032 M
26,769.13
PIMCO0.39Total MarketRAFI Dynamic Multi-Factor Developed Ex-U.S. Index8/31/201736.191.715.3
Bonds374.504 M
59,272.11
PIMCO0.39Wide credit9/8/202145.3300
Bonds294.992 M
-
PIMCO0.5High-yieldingBofA Merrill Lynch 0-5 Year Euro Developed Markets High Yield 2% Constrained Index - EUR10/9/201712.0600
Bonds215.978 M
12,881.78
PIMCO0.24Investment Grade12/10/201998.6700
Stocks207.353 M
9,587.333
PIMCO0.29Total MarketRAFI Dynamic Multi-Factor U.S. Index8/31/201754.613.5220.82
Bonds194.392 M
28,253.64
PIMCO0.74Wide credit1/18/202351.6400
Bonds112.494 M
-
PIMCO0.5High-yieldingBofA Merrill Lynch 0-5 Year Euro Developed Markets High Yield 2% Constrained Index - EUR10/9/20179.3400
Stocks110.011 M
21,670.8
PIMCO0.5Total MarketRAFI Dynamic Multi-Factor Emerging Market Index8/31/201721.791.1710.9
Bonds105.701 M
-
PIMCO0.6Wide creditICE BofA PIMCO Emerging Markets Advantage Local Currency Bond9/19/2011122.5900
Bonds100.862 M
12,554.84
PIMCO0.2Investment GradeICE BofA US Inflation-Linked Treasury9/3/200953.8600
PIMCO RAFI ESG U.S. ETF
RAFE
US72201T3427
Stocks99.691 M
8,429.444
PIMCO0.29Total MarketRAFI ESG US Index12/18/201939.793.119.01
Bonds98.969 M
-
PIMCO0.5Investment Grade11/17/2014102.7500
Bonds92.904 M
-
PIMCO0.19Investment Grade6/10/2011103.6400
Bonds90.814 M
-
PIMCO0.5Investment Grade11/17/2014102.0200
Bonds64.699 M
-
PIMCO0.6High-yieldingBofA Merrill Lynch 0-5 Year U.S. High Yield Constrained EUR Hedged Index - EUR12/12/2017122.600
Bonds53.835 M
-
PIMCO0.6Wide creditICE BofA PIMCO Emerging Markets Advantage Local Currency Bond1/23/201466.2500
Bonds37.525 M
-
PIMCO0.43Investment Grade12/17/2013106.4800
Bonds31.309 M
-
PIMCO0.6High-yieldingBofA Merrill Lynch 0-5 Year US High Yield Constrained Net Total Return Index - GBP11/16/20158.9800
Bonds15.829 M
-
PIMCO0.6High-yieldingBofA Merrill Lynch 0-5 Year US High Yield Constrained CHF Hedged Index - CHF5/28/2015121.7200
Bonds15.662 M
-
PIMCO0Wide credit2/5/202520.500
Bonds14.082 M
-
PIMCO0.55Investment Grade2/5/202520.4300
Bonds12.871 M
-
PIMCO0.5Investment GradeICE BofA 1-5 Year US Corporate Index4/30/2015100.5900
Bonds12.507 M
-
PIMCO0Investment Grade2/5/202520.3500
Bonds9.518 M
-
PIMCO0Investment Grade2/5/202520.4900
Bonds5.588 M
-
PIMCO0.4Investment Grade9/25/2019114.1300
Bonds-
-
PIMCO0.34Investment Grade8/15/202420.4600
Bonds-
-
PIMCO0.83Investment Grade9/29/201716.6100
Bonds-
-
PIMCO0.66Wide credit2/14/202018.1200
Bonds-
-
PIMCO0.39Investment Grade2/1/201918.9300
PIMCO Managed Core Bond Pool
PCOR.TO
CA72203V1058
Bonds-
-
PIMCO0.67Wide credit2/14/202018.4500
Bonds-
-
PIMCO0.86Wide credit2/8/201918.7900
Bonds-
-
PIMCO0.86Wide credit9/29/201718.3300
PIMCO Monthly Income Fund (Canada)
PMIF.U.TO
CA72203R2037
Bonds-
-
PIMCO0.85Wide credit9/28/201819.8900
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