Allianz Global Investors
Our Managers Commentary News & Media
Closed-End Funds
Related Products
> Mutual Funds
> 529 Plans
 2009 Closed-End Fund Tax Info
 2009 Closed-End Fund Special Dividend Info
 Important Information on CEF ARPS

BOND FUND PROFILE 
All data as of 02.28.10, unless otherwise indicated. 
PIMCO Strategic Global Government Fund Inc. (RCS)
Print

Fund Inception Date 02.24.94
About this Fund Performance Portfolio Literature
Daily Statistics (as of 03.10.10)
Market Price
NAV
Dividend Yield
Close
Change
Close
Change
Premium/
Discount
Market
Tax Equiv
$11.22
-$0.18
$9.13
+$0.02
22.89%
6.95%
-
Average Annual Returns  (as of 02.28.10)  
PIMCO Strategic Global Government Inc. at NAV PIMCO Strategic Global Government Inc. at Market Price
 
1-yr
3-yr
5-yr
10-yr
Inception
PIMCO Strategic Global Government Inc. at NAV
55.27%
9.36%
7.60%
8.84%
7.56%
PIMCO Strategic Global Government Inc. at Market Price
56.33%
10.84%
8.42%
12.72%
9.05%
Calendar Year Returns  (as of 02.28.10)  
PIMCO Strategic Global Government Inc. at NAV PIMCO Strategic Global Government Inc. at Market Price
 
'00
'01
'02
'03
'04
'05
'06
'07
'08
'09
'10YTD
PIMCO Strategic Global Government Inc. at NAV
9.56%
11.51%
12.26%
9.17%
6.11%
1.78%
6.76%
4.09%
-13.67%
41.30%
4.45%
PIMCO Strategic Global Government Inc. at Market Price
23.52%
15.53%
21.84%
13.91%
6.12%
-5.50%
7.14%
-.42%
1.07%
39.14%
8.90%
Fund Premium/Discount to NAV  (as of 02.28.10)  
PIMCO Strategic Global Government Fund Inc. at NAV PIMCO Strategic Global Government Fund Inc. at Market Price
Dividend History  (as of 02.28.10)  
Declaration Date
Payable Date
Record Date
Ex-dividend Date
Monthly Distribution ($/share)
Special Cash
Long-term Capital Gains Distribution
Short-term Capital Gains Distribution
02.01.10
03.01.10
02.11.10
02.09.10
$0.06500
-
-
-
01.04.10
02.01.10
01.14.10
01.12.10
$0.06500
-
-
-
12.18.09
01.22.10
12.28.09
12.23.09
-
$0.55500
-
-
12.01.09
12.30.09
12.11.09
12.09.09
$0.06500
-
-
-
11.02.09
12.01.09
11.12.09
11.09.09
$0.06500
-
-
-
10.01.09
11.02.09
10.13.09
10.08.09
$0.06500
-
-
-
09.01.09
09.29.09
09.11.09
09.09.09
$0.06500
-
-
-
08.03.09
09.01.09
08.13.09
08.11.09
$0.06500
-
-
-
07.01.09
08.03.09
07.13.09
07.09.09
$0.06500
-
-
-
06.01.09
07.01.09
06.11.09
06.09.09
$0.06500
-
-
-
05.01.09
06.01.09
05.11.09
05.07.09
$0.06500
-
-
-
04.01.09
05.01.09
04.13.09
04.08.09
$0.06500
-
-
-
03.02.09
04.01.09
03.12.09
03.10.09
$0.06500
-
-
-
02.02.09
03.02.09
02.12.09
02.10.09
$0.06500
-
-
-
01.02.09
02.02.09
01.12.09
01.08.09
$0.06500
-
-
-
12.19.08
01.23.09
12.29.08
12.24.08
-
$0.43500
-
-
12.01.08
12.31.08
12.11.08
12.09.08
$0.06500
-
-
-
11.03.08
12.01.08
11.13.08
11.10.08
$0.06500
-
-
-
10.01.08
11.03.08
10.11.08
10.08.08
$0.06500
-
-
-
09.02.08
10.01.08
09.12.08
09.10.08
$0.06500
-
-
-
08.01.08
09.02.08
08.11.08
08.07.08
$0.06500
-
-
-
07.01.08
08.01.08
07.11.08
07.09.08
$0.06500
-
-
-
06.13.08
07.10.08
06.30.08
06.26.08
$0.06500
-
-
-
05.14.08
06.12.08
05.30.08
05.28.08
$0.06500
-
-
-
04.14.08
05.08.08
04.30.08
04.28.08
$0.06500
-
-
-
03.14.08
04.10.08
03.31.08
03.27.08
$0.06500
-
-
-
02.14.08
03.13.08
02.29.08
02.27.08
$0.06500
-
-
-
01.15.08
02.14.08
01.31.08
01.29.08
$0.06500
-
-
-
12.14.07
01.10.08
12.31.07
12.27.07
$0.06500
$0.03000
-
-
11.15.07
12.13.07
11.30.07
11.28.07
$0.06500
-
-
-
10.15.07
11.08.07
10.31.07
10.29.07
$0.06500
-
-
-
09.17.07
10.11.07
09.28.07
09.26.07
$0.06500
-
-
-
08.14.07
09.13.07
08.31.07
08.29.07
$0.06500
-
-
-
07.16.07
08.09.07
07.31.07
07.27.07
$0.06500
-
-
-
06.14.07
07.12.07
06.29.07
06.27.07
$0.06500
-
-
-
05.14.07
06.14.07
05.31.07
05.29.07
$0.06500
-
-
-
High/Low Ranges - One Year  (as of 02.28.10)  
High / Low NAV
$9.45/ $6.41
High / Low Market Price
$11.25/ $6.81
Leverage  (as of 02.28.10)
Type
Reverse Repurchase Agreements
% of Total Funds Assets (Leverage)
0%

Past performance is no guarantee of future results. An investment in the Fund involves risk, including loss of principal. Investment return and the value of shares will fluctuate.

 

This information is unaudited and is intended for informational purposes only.

 

This Fund will normally invest at least 80% of its assets in government securities, bonds issued by governmental issuers located in no fewer than three different countries including the United States. The Fund may invest in securities that are issued or guaranteed by the U.S. Government or its agencies; this guarantee is to timely repayment of principal and interest if held to maturity. Guarantee does not eliminate market risk. The Fund's shares, yield and net asset value are not guaranteed by the U.S. Government. The Fund may also at times invest in mortgage-related securities. Mortgage backed securities are subject to prepayment risk and the value of some mortgage-related or asset-backed securities may be particularly sensitive to interest rate changes. The fund may invest in high yield, below investment grade, debt instruments. High-yield bonds typically have a lower credit rating than other bonds. Lower rated bonds generally involve a greater risk to principal than higher rated bonds. The Fund may invest in foreign securities, which may entail risk due to foreign economic and political developments; this risk may be enhanced when investing in emerging markets.

 

Returns are calculated by subtracting the value of a share at the beginning of the period from the value at the end and dividing the difference by the initial value, expressing the result as a percent change. The calculation assumes that all distributions during the period have been reinvested on the payable dates, at NAV or at market price according to how the returns are labeled. The returns do not reflect broker sales charges or commissions. Net asset value (NAV) is total assets less total liabilities divided by the number of shares outstanding.

 

Dividend Yield (Market) is calculated by annualizing the most recent regular distribution per share and dividing by the closing market price listed above. The Fund's distributions may be comprised of ordinary income, net capital gains, return of capital or a combination thereof. Distribution rates on Fund common shares are subject to change and are not a quotation of fund performance. Please refer to the most recent Section 19 Notice, if applicable, for additional information regarding the composition of distributions.

 

The Funds are closed-end exchange traded investment companies. The material on this website is presented only to provide information and is not intended for trading purposes. Closed-end funds, unlike open-end funds, are not continuously offered. After the initial public offering, shares are sold on the open market through a stock exchange. Investment policies, management fees and other matters of interest to prospective investors may be found in each closed-end fund prospectus. For additional information, please contact your financial advisor.

 

Allianz Global Investors Fund Management LLC, is an indirect, majority-owned subsidiary of Allianz Global Investors of America L.P., and is a member of Munich-based Allianz Group . Allianz is a leading global financial services company. Allianz Global Investors Fund Management LLC serves as the Funds' investment manager, and the sub-advisor is Pacific Investment Management Company LLC (PIMCO).

 


Advisor Login