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 Fund Inception Date 10.26.04 |
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PIMCO Floating Rate Strategy Fund at NAV |
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PIMCO Floating Rate Strategy Fund at Market Price |
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07.03.08 |
08.01.08 |
07.14.08 |
07.10.08 |
$0.09715 |
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06.06.08 |
07.03.08 |
06.16.08 |
06.12.08 |
$0.09715 |
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- |
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05.02.08 |
06.02.08 |
05.12.08 |
05.08.08 |
$0.10543 |
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- |
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04.04.08 |
04.02.08 |
04.14.08 |
04.10.08 |
$0.10543 |
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03.07.08 |
04.04.08 |
03.17.08 |
03.13.08 |
$0.10543 |
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02.01.08 |
03.03.08 |
02.11.08 |
02.07.08 |
$0.14027 |
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01.04.08 |
02.01.08 |
01.14.08 |
01.10.08 |
$0.14027 |
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12.07.07 |
12.31.07 |
12.17.07 |
12.13.07 |
$0.14027 |
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11.02.07 |
12.07.07 |
11.12.07 |
11.07.07 |
$0.14852 |
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10.05.07 |
11.02.07 |
10.15.07 |
10.11.07 |
$0.14852 |
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09.07.07 |
10.05.07 |
09.17.07 |
09.13.07 |
$0.14852 |
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08.03.07 |
09.07.07 |
08.13.07 |
08.09.07 |
$0.14318 |
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07.06.07 |
08.03.07 |
07.16.07 |
07.12.07 |
$0.14318 |
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06.01.07 |
07.06.07 |
06.11.07 |
06.07.07 |
$0.14318 |
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05.04.07 |
06.01.07 |
05.11.07 |
05.09.07 |
$0.14312 |
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04.05.07 |
05.01.07 |
04.12.07 |
04.10.07 |
$0.14312 |
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03.02.07 |
04.02.07 |
03.12.07 |
03.08.07 |
$0.14312 |
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02.02.07 |
03.01.07 |
02.12.07 |
02.08.07 |
$0.14351 |
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01.05.07 |
02.01.07 |
01.16.07 |
01.11.07 |
$0.14351 |
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12.20.06 |
01.05.06 |
12.29.06 |
12.27.06 |
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$0.00985 |
$0.41392 |
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12.01.06 |
12.29.06 |
12.11.06 |
12.07.06 |
$0.14351 |
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11.03.06 |
12.01.06 |
11.13.06 |
11.09.06 |
$0.14356 |
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10.06.06 |
11.01.06 |
10.12.06 |
10.10.06 |
$0.14356 |
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09.01.06 |
10.02.06 |
09.11.06 |
09.07.06 |
$0.14356 |
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08.04.06 |
09.11.06 |
08.11.06 |
08.09.06 |
$0.14048 |
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07.07.06 |
08.01.06 |
07.13.06 |
07.11.06 |
$0.14048 |
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06.02.06 |
07.03.06 |
06.12.06 |
06.08.06 |
$0.14048 |
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05.05.06 |
06.01.06 |
05.11.06 |
05.09.06 |
$0.13314 |
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04.07.06 |
05.01.06 |
04.13.06 |
04.11.06 |
$0.13314 |
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03.03.06 |
04.03.06 |
03.10.06 |
03.08.06 |
$0.13314 |
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02.03.06 |
03.01.06 |
02.10.06 |
02.08.06 |
$0.12685 |
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01.06.06 |
02.01.06 |
01.13.06 |
01.11.06 |
$0.12685 |
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12.02.05 |
12.30.05 |
12.16.05 |
12.14.05 |
$0.12685 |
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11.04.05 |
12.01.05 |
11.18.05 |
11.16.05 |
$0.11719 |
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10.07.05 |
11.01.05 |
10.21.05 |
10.19.05 |
$0.11719 |
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09.02.05 |
10.03.05 |
09.16.05 |
09.14.05 |
$0.11719 |
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