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Mutual Funds 
All data as of 06.30.10, unless otherwise indicated. 
Price & Performance
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Performance quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than performance shown. Investment return and the principal value of an investment will fluctuate. Shares may be worth more or less than original cost when redeemed. MOP returns take into account the maximum sales charge.
 
Please click on the Quarter-end tab below for the most recent standardized returns.

Daily Month-End Quarter-End Lipper Ranking
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Allianz Funds
Value Stock
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PNFIX Allianz NFJ All-Cap Value At NAV
At MOP
-
-
-5.22%
-
23.93%
-
-14.22%
-
-2.84%
-
-
-
5.51%
-
07.19.02
07.19.02
NFJEX Allianz NFJ Dividend Value At NAV
At MOP
-
-
-7.52%
-
13.63%
-
-13.61%
-
-1.26%
-
6.02%
-
5.32%
-
05.08.00
05.08.00
ANVIX Allianz NFJ Large-Cap Value At NAV
At MOP
-
-
-6.86%
-
13.86%
-
-15.01%
-
-2.89%
-
4.46%
-
4.09%
-
05.08.00
05.08.00
ANIVX Allianz NFJ Mid-Cap Value At NAV
At MOP
-
-
-2.22%
-
31.02%
-
-10.14%
-
-
-
-
-
-3.64%
-
08.21.06
08.21.06
PRNIX Allianz NFJ Renaissance At NAV
At MOP
-
-
-2.34%
-
22.40%
-
-8.29%
-
-.12%
-
7.00%
-
10.90%
-
04.18.88
04.18.88
PSVIX Allianz NFJ Small-Cap Value At NAV
At MOP
-
-
1.61%
-
25.03%
-
-3.76%
-
4.53%
-
12.01%
-
11.77%
-
10.01.91
10.01.91
Blend Stock
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PMCIX Allianz CCM Emerging Companies At NAV
At MOP
-
-
-.34%
-
17.52%
-
-10.49%
-
-3.04%
-
3.15%
-
9.31%
-
06.25.93
06.25.93
ARDIX Allianz RCM Disciplined Equity At NAV
At MOP
-
-
-7.81%
-
14.71%
-
-
-
-
-
-
-
-3.31%
-
07.15.08
07.15.08
International Stock
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
AOTIX Allianz NACM Emerging Markets Opportunities At NAV
At MOP
-
-
-7.67%
-
20.66%
-
-8.94%
-
12.83%
-
-
-
15.51%
-
05.27.04
05.27.04
NGBIX Allianz NACM Global At NAV
At MOP
-
-
-8.24%
-
6.95%
-
-12.40%
-
-.08%
-
-
-
7.26%
-
07.19.02
07.19.02
NAISX Allianz NACM International At NAV
At MOP
-
-
-13.80%
-
2.86%
-
-18.56%
-
-1.09%
-
-
-
3.48%
-
05.07.01
05.07.01
AILIX Allianz NACM International Growth At NAV
At MOP
-
-
-10.09%
-
9.23%
-
-11.33%
-
3.32%
-
-.98%
-
6.10%
-
12.27.96
12.27.96
ALOIX Allianz NACM International Growth Opportunities At NAV
At MOP
-
-
-7.34%
-
14.93%
-
-11.67%
-
6.48%
-
3.09%
-
12.63%
-
12.31.97
12.31.97
NAPRX Allianz NACM Pacific Rim At NAV
At MOP
-
-
-10.18%
-
7.81%
-
-12.87%
-
5.75%
-
3.55%
-
8.94%
-
12.31.97
12.31.97
ANUIX Allianz NFJ Global Dividend Value At NAV
At MOP
-
-
-9.34%
-
13.02%
-
-
-
-
-
-
-
12.42%
-
06.26.09
06.26.09
ANJIX Allianz NFJ International Value At NAV
At MOP
-
-
-9.77%
-
13.90%
-
-9.03%
-
6.55%
-
-
-
15.09%
-
01.31.03
01.31.03
ARHIX Allianz RCM All Horizons At NAV
At MOP
-
-
-10.48%
-
5.22%
-
-
-
-
-
-
-
-13.70%
-
07.15.08
07.15.08
ALQIX Allianz RCM China Equity At NAV
At MOP
-
-
2.60%
-
-
-
-
-
-
-
-
-
2.60%
-
06.07.10
06.07.10
DRIEX Allianz RCM Disciplined International Equity At NAV
At MOP
-
-
-12.25%
-
7.53%
-
-11.22%
-
2.23%
-
-3.05%
-
4.23%
-
05.22.95
05.22.95
DGSCX Allianz RCM Global Small-Cap At NAV
At MOP
-
-
-6.08%
-
20.71%
-
-15.59%
-
-1.26%
-
-1.50%
-
8.57%
-
12.31.96
12.31.96
AMOIX Allianz RCM International Opportunities At NAV
At MOP
-
-
-14.60%
-
5.22%
-
-
-
-
-
-
-
-14.77%
-
07.15.08
07.15.08
Asset Allocation (Strategic)
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PALLX Allianz Global Investors Solutions Core Allocation At NAV
At MOP
-
-
-2.42%
-
15.92%
-
-2.19%
-
3.44%
-
3.82%
-
5.40%
-
09.30.98
09.30.98
AGAIX Allianz Global Investors Solutions Growth Allocation At NAV
At MOP
-
-
-5.15%
-
16.82%
-
-
-
-
-
-
-
24.68%
-
04.27.09
04.27.09
Income and Growth
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
ANNPX Allianz NACM Convertible At NAV
At MOP
-
-
-2.46%
-
18.03%
-
-.08%
-
5.99%
-
2.41%
-
9.97%
-
04.19.93
04.19.93
AYBIX Allianz NACM High Yield Bond At NAV
At MOP
-
-
3.93%
-
22.52%
-
6.67%
-
7.09%
-
6.46%
-
8.10%
-
07.31.96
07.31.96
AZNIX Allianz NACM Income and Growth At NAV
At MOP
-
-
-2.35%
-
19.26%
-
.15%
-
-
-
-
-
1.69%
-
02.28.07
02.28.07
Sector-Related Stock
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
AECIX Allianz RCM Global EcoTrends At NAV
At MOP
-
-
-19.35%
-
-13.00%
-
-16.64%
-
-
-
-
-
-8.99%
-
01.31.07
01.31.07
RGLIX Allianz RCM Global Resources At NAV
At MOP
-
-
-19.26%
-
4.82%
-
-11.07%
-
5.33%
-
-
-
9.71%
-
06.30.04
06.30.04
AWTIX Allianz RCM Global Water At NAV
At MOP
-
-
-10.97%
-
3.89%
-
-
-
-
-
-
-
-11.85%
-
03.31.08
03.31.08
DRGTX Allianz RCM Technology At NAV
At MOP
-
-
-4.59%
-
21.63%
-
-2.93%
-
4.44%
-
-4.82%
-
12.17%
-
12.27.95
12.27.95
Retirement Solutions
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
AZGIX Allianz Global Investors Solutions 2015 At NAV
At MOP
-
-
1.87%
-
14.94%
-
-
-
-
-
-
-
16.15%
-
12.29.08
12.29.08
AGNIX Allianz Global Investors Solutions 2020 At NAV
At MOP
-
-
.90%
-
15.29%
-
-
-
-
-
-
-
16.43%
-
12.29.08
12.29.08
ABLIX Allianz Global Investors Solutions 2030 At NAV
At MOP
-
-
-2.10%
-
16.17%
-
-
-
-
-
-
-
18.40%
-
12.29.08
12.29.08
AVTIX Allianz Global Investors Solutions 2040 At NAV
At MOP
-
-
-4.95%
-
17.19%
-
-
-
-
-
-
-
19.52%
-
12.29.08
12.29.08
ASNIX Allianz Global Investors Solutions 2050 At NAV
At MOP
-
-
-5.10%
-
17.12%
-
-
-
-
-
-
-
19.53%
-
12.29.08
12.29.08
AVRIX Allianz Global Investors Solutions Retirement Income At NAV
At MOP
-
-
2.12%
-
14.25%
-
-
-
-
-
-
-
15.77%
-
12.29.08
12.29.08
Growth Stock
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PAPIX Allianz CCM Capital Appreciation At NAV
At MOP
-
-
-6.99%
-
12.67%
-
-10.99%
-
-2.26%
-
-1.61%
-
8.21%
-
03.08.91
03.08.91
AFGIX Allianz CCM Focused Growth At NAV
At MOP
-
-
-9.60%
-
7.50%
-
-11.97%
-
-1.30%
-
-4.66%
-
-1.72%
-
08.31.99
08.31.99
PMGIX Allianz CCM Mid-Cap At NAV
At MOP
-
-
-2.72%
-
17.52%
-
-10.21%
-
-1.19%
-
.60%
-
8.77%
-
08.26.91
08.26.91
AEMIX Allianz NACM Emerging Growth At NAV
At MOP
-
-
-7.04%
-
19.93%
-
-9.98%
-
2.61%
-
-3.87%
-
5.57%
-
10.01.93
10.01.93
NGFIX Allianz NACM Growth At NAV
At MOP
-
-
-8.46%
-
11.22%
-
-8.93%
-
.11%
-
-
-
3.76%
-
07.19.02
07.19.02
AMCIX Allianz NACM Micro Cap At NAV
At MOP
-
-
-1.95%
-
19.07%
-
-9.08%
-
1.27%
-
-.56%
-
10.08%
-
07.12.95
07.12.95
ANMIX Allianz NACM Mid-Cap Growth At NAV
At MOP
-
-
-3.65%
-
20.23%
-
-7.29%
-
2.42%
-
-
-
3.64%
-
02.27.04
02.27.04
ASGIX Allianz NACM Small to Mid Cap Growth At NAV
At MOP
-
-
-8.28%
-
16.77%
-
-
-
-
-
-
-
-7.88%
-
07.31.07
07.31.07
AUMIX Allianz NACM Ultra Micro Cap At NAV
At MOP
-
-
6.09%
-
34.97%
-
-
-
-
-
-
-
1.87%
-
01.28.08
01.28.08
PGFIX Allianz OCC Growth At NAV
At MOP
-
-
-7.85%
-
10.22%
-
-5.92%
-
2.88%
-
-3.93%
-
10.31%
-
02.24.84
02.24.84
POFIX Allianz OCC Opportunity At NAV
At MOP
-
-
-2.59%
-
17.76%
-
-6.98%
-
3.06%
-
.25%
-
11.93%
-
02.24.84
02.24.84
PFTIX Allianz OCC Target At NAV
At MOP
-
-
-5.11%
-
21.84%
-
-9.41%
-
.96%
-
-3.31%
-
8.92%
-
12.17.92
12.17.92
DRLCX Allianz RCM Large-Cap Growth At NAV
At MOP
-
-
-10.32%
-
8.26%
-
-6.60%
-
.56%
-
-3.53%
-
5.25%
-
12.31.96
12.31.96
DRMCX Allianz RCM Mid-Cap At NAV
At MOP
-
-
-3.10%
-
20.93%
-
-5.63%
-
2.93%
-
-2.78%
-
13.33%
-
11.06.79
11.06.79
ANRIX Allianz RCM Strategic Growth At NAV
At MOP
-
-
-8.83%
-
9.13%
-
-4.81%
-
-
-
-
-
-1.57%
-
03.31.06
03.31.06
PIMCO Funds
Bond
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PCIMX PIMCO CA Intermediate Muni Bond At NAV
At MOP
-
-
4.05%
-
10.87%
-
3.24%
-
3.09%
-
4.04%
-
4.22%
-
08.31.99
08.31.99
PCDIX PIMCO CA Short Duration Muni Income At NAV
At MOP
-
-
.97%
-
3.36%
-
3.33%
-
-
-
-
-
3.26%
-
08.31.06
08.31.06
PFCIX PIMCO Convertible At NAV
At MOP
-
-
1.85%
-
32.34%
-
-1.66%
-
4.15%
-
2.27%
-
5.91%
-
03.31.99
03.31.99
PLMIX PIMCO Developing Local Markets At NAV
At MOP
-
-
-1.67%
-
7.40%
-
3.15%
-
6.09%
-
-
-
6.11%
-
05.31.05
05.31.05
PDIIX PIMCO Diversified Income At NAV
At MOP
-
-
6.37%
-
23.13%
-
7.86%
-
6.89%
-
-
-
8.20%
-
07.31.03
07.31.03
PELBX PIMCO Emerging Local Bond At NAV
At MOP
-
-
4.04%
-
19.25%
-
8.34%
-
-
-
-
-
8.91%
-
12.29.06
12.29.06
PEBIX PIMCO Emerging Markets Bond At NAV
At MOP
-
-
6.49%
-
20.94%
-
7.54%
-
7.99%
-
13.56%
-
11.64%
-
07.31.97
07.31.97
PEMIX PIMCO Emerging Markets and Infrastructure Bond At NAV
At MOP
-
-
5.81%
-
-
-
-
-
-
-
-
-
18.71%
-
07.01.09
07.01.09
PEDIX PIMCO Extended Duration At NAV
At MOP
-
-
24.70%
-
20.36%
-
16.29%
-
-
-
-
-
11.55%
-
08.31.06
08.31.06
PFIIX PIMCO Floating Income At NAV
At MOP
-
-
1.21%
-
18.16%
-
.23%
-
3.08%
-
-
-
3.61%
-
07.31.04
07.31.04
PFORX PIMCO Foreign Bond (U.S. Dollar-Hedged) At NAV
At MOP
-
-
7.67%
-
19.23%
-
9.50%
-
6.29%
-
6.85%
-
8.04%
-
12.02.92
12.02.92
PFUIX PIMCO Foreign Bond (Unhedged) At NAV
At MOP
-
-
1.84%
-
15.32%
-
10.04%
-
6.17%
-
-
-
6.33%
-
04.30.04
04.30.04
PDMIX PIMCO GNMA At NAV
At MOP
-
-
6.47%
-
11.01%
-
9.23%
-
7.03%
-
7.25%
-
7.01%
-
07.31.97
07.31.97
PSAIX PIMCO Global Advantage Strategy Bond At NAV
At MOP
-
-
.03%
-
7.55%
-
-
-
-
-
-
-
10.90%
-
02.05.09
02.05.09
PGBIX PIMCO Global Bond (U.S. Dollar-Hedged) At NAV
At MOP
-
-
7.07%
-
16.58%
-
8.42%
-
5.65%
-
6.74%
-
7.29%
-
10.02.95
10.02.95
PIGLX PIMCO Global Bond (Unhedged) At NAV
At MOP
-
-
3.37%
-
14.71%
-
9.32%
-
5.82%
-
7.60%
-
6.97%
-
11.23.93
11.23.93
PHIYX PIMCO High Yield At NAV
At MOP
-
-
4.64%
-
28.22%
-
5.25%
-
5.98%
-
6.79%
-
8.08%
-
12.15.92
12.15.92
PHMIX PIMCO High Yield Municipal Bond At NAV
At MOP
-
-
5.21%
-
18.24%
-
-2.53%
-
-
-
-
-
.36%
-
07.31.06
07.31.06
PIMIX PIMCO Income At NAV
At MOP
-
-
10.36%
-
25.35%
-
9.55%
-
-
-
-
-
8.63%
-
03.30.07
03.30.07
PIGIX PIMCO Investment Grade Corporate Bond At NAV
At MOP
-
-
5.84%
-
18.41%
-
10.98%
-
7.38%
-
8.51%
-
8.63%
-
04.28.00
04.28.00
PLRIX PIMCO Long Duration Total Return At NAV
At MOP
-
-
10.14%
-
18.28%
-
13.01%
-
-
-
-
-
10.12%
-
08.31.06
08.31.06
PTCIX PIMCO Long-Term Credit At NAV
At MOP
-
-
7.66%
-
21.70%
-
-
-
-
-
-
-
24.03%
-
03.31.09
03.31.09
PGOVX PIMCO Long-Term U.S. Govt. At NAV
At MOP
-
-
14.57%
-
17.07%
-
12.34%
-
6.62%
-
8.63%
-
9.62%
-
07.01.91
07.01.91
PTLDX PIMCO Low Duration At NAV
At MOP
-
-
2.74%
-
8.99%
-
6.99%
-
5.32%
-
5.28%
-
6.68%
-
05.11.87
05.11.87
PLDTX PIMCO Low Duration II At NAV
At MOP
-
-
2.52%
-
7.77%
-
6.15%
-
4.78%
-
4.85%
-
5.42%
-
10.31.91
10.31.91
PLDIX PIMCO Low Duration III At NAV
At MOP
-
-
3.20%
-
8.83%
-
6.10%
-
4.84%
-
5.01%
-
5.16%
-
12.31.96
12.31.96
PMDRX PIMCO Moderate Duration At NAV
At MOP
-
-
5.06%
-
12.39%
-
9.83%
-
6.56%
-
7.02%
-
6.69%
-
12.31.96
12.31.96
PTRIX PIMCO Mortgage-Backed Securities At NAV
At MOP
-
-
7.46%
-
14.72%
-
9.05%
-
6.81%
-
7.30%
-
7.08%
-
07.31.97
07.31.97
PMGOX PIMCO MuniGO At NAV
At MOP
-
-
3.66%
-
-
-
-
-
-
-
-
-
6.89%
-
07.01.09
07.01.09
PFMIX PIMCO Municipal Bond At NAV
At MOP
-
-
3.81%
-
13.62%
-
.42%
-
1.71%
-
4.06%
-
3.74%
-
12.31.97
12.31.97
PNYIX PIMCO NY Muni Bond At NAV
At MOP
-
-
3.81%
-
10.39%
-
4.81%
-
3.96%
-
5.66%
-
5.54%
-
08.31.99
08.31.99
PRRIX PIMCO Real Return At NAV
At MOP
-
-
5.16%
-
13.34%
-
8.90%
-
5.55%
-
7.97%
-
7.57%
-
01.29.97
01.29.97
PRAIX PIMCO Real Return Asset At NAV
At MOP
-
-
7.81%
-
15.98%
-
9.86%
-
4.98%
-
-
-
8.38%
-
11.12.01
11.12.01
PSDIX PIMCO Short Duration Municipal Income At NAV
At MOP
-
-
1.24%
-
4.07%
-
-2.02%
-
.45%
-
1.67%
-
1.84%
-
08.31.99
08.31.99
PTSHX PIMCO Short-Term At NAV
At MOP
-
-
.88%
-
3.72%
-
3.74%
-
3.86%
-
3.73%
-
5.23%
-
10.07.87
10.07.87
PTMIX PIMCO Tax Managed Real Return At NAV
At MOP
-
-
-.08%
-
-
-
-
-
-
-
-
-
2.68%
-
10.30.09
10.30.09
PTMIX PIMCO Tax Managed Real Return I (after taxes on distributions) At NAV
At MOP
-
-
-
-
-
-
-
-
-
-
-
-
2.68%
2.68%
10.30.09
10.30.09
PTMIX PIMCO Tax Managed Real Return I (after taxes on distributions and sale of fund shares) At NAV
At MOP
-
-
-
-
-
-
-
-
-
-
-
-
2.61%
2.61%
10.30.09
10.30.09
PTTRX PIMCO Total Return At NAV
At MOP
-
-
5.80%
-
13.31%
-
11.12%
-
7.44%
-
7.83%
-
8.51%
-
05.11.87
05.11.87
PMBIX PIMCO Total Return II At NAV
At MOP
-
-
5.54%
-
11.96%
-
10.99%
-
7.15%
-
7.46%
-
7.38%
-
12.30.91
12.30.91
PTSAX PIMCO Total Return III At NAV
At MOP
-
-
5.95%
-
13.63%
-
10.77%
-
7.19%
-
7.78%
-
8.04%
-
05.01.91
05.01.91
PFIUX PIMCO Unconstrained Bond At NAV
At MOP
-
-
3.97%
-
10.03%
-
-
-
-
-
-
-
9.56%
-
06.30.08
06.30.08
PUTIX PIMCO Unconstrained Tax Managed Bond At NAV
At MOP
-
-
.71%
-
5.46%
-
-
-
-
-
-
-
5.08%
-
01.30.09
01.30.09
PUTIX PIMCO Unconstrained Tax Managed Bond I (after taxes on distributions) At NAV
At MOP
-
-
-
-
5.46%
5.46%
-
-
-
-
-
-
5.08%
5.08%
01.30.09
01.30.09
PUTIX PIMCO Unconstrained Tax Managed Bond I (after taxes on distributions and sale of fund shares) At NAV
At MOP
-
-
-
-
4.82%
4.82%
-
-
-
-
-
-
4.44%
4.44%
01.30.09
01.30.09
Equity
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PEFIX PIMCO EM Fundamental IndexPLUS TR Strategy At NAV
At MOP
-
-
-2.40%
-
34.92%
-
-
-
-
-
-
-
60.34%
-
11.26.08
11.26.08
PTHWX PIMCO EqS Pathfinder At NAV
At MOP
-
-
-7.70%
-
-
-
-
-
-
-
-
-
-7.70%
-
04.14.10
04.14.10
PFPIX PIMCO Fundamental IndexPLUS At NAV
At MOP
-
-
-2.26%
-
35.70%
-
-9.87%
-
-.48%
-
-
-
-.48%
-
06.30.05
06.30.05
PXTIX PIMCO Fundamental IndexPLUS TR At NAV
At MOP
-
-
2.42%
-
43.33%
-
-2.70%
-
3.46%
-
-
-
3.46%
-
06.30.05
06.30.05
PISIX PIMCO International StocksPLUS TR Strtgy (U.S. Dollar Hdg) At NAV
At MOP
-
-
-2.14%
-
25.40%
-
-5.49%
-
4.63%
-
-
-
7.54%
-
10.30.03
10.30.03
PSKIX PIMCO International StocksPLUS TR Strtgy (Unhedged) At NAV
At MOP
-
-
-9.78%
-
17.14%
-
-8.04%
-
-
-
-
-
-4.32%
-
11.30.06
11.30.06
PSCSX PIMCO Small Cap StocksPLUS TR At NAV
At MOP
-
-
4.56%
-
39.59%
-
.24%
-
-
-
-
-
2.37%
-
03.31.06
03.31.06
PSTKX PIMCO StocksPLUS At NAV
At MOP
-
-
-5.90%
-
21.29%
-
-9.97%
-
-1.37%
-
-1.47%
-
7.41%
-
05.13.93
05.13.93
PSLDX PIMCO StocksPLUS Long Duration At NAV
At MOP
-
-
2.66%
-
32.64%
-
-
-
-
-
-
-
-3.30%
-
08.31.07
08.31.07
PSTIX PIMCO StocksPLUS TR Short Strategy At NAV
At MOP
-
-
11.35%
-
-4.86%
-
16.53%
-
6.37%
-
-
-
5.37%
-
07.23.03
07.23.03
PSPTX PIMCO StocksPLUS Total Return At NAV
At MOP
-
-
-.87%
-
31.56%
-
-5.91%
-
.40%
-
-
-
4.68%
-
06.28.02
06.28.02
Alternative
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PCLIX PIMCO CommoditiesPLUS Strategy At NAV
At MOP
-
-
.40%
-
-
-
-
-
-
-
-
-
.40%
-
05.28.10
05.28.10
PCRIX PIMCO CommodityRealReturn Strategy At NAV
At MOP
-
-
-6.18%
-
14.63%
-
-3.67%
-
-.07%
-
-
-
9.18%
-
06.28.02
06.28.02
PFATX PIMCO Fundamental Advantage Total Return Strategy At NAV
At MOP
-
-
7.68%
-
17.25%
-
-
-
-
-
-
-
10.50%
-
02.29.08
02.29.08
PRRSX PIMCO RealEstateRealReturn Strategy At NAV
At MOP
-
-
12.88%
-
80.53%
-
-4.10%
-
1.44%
-
-
-
9.36%
-
10.30.03
10.30.03
Retirement Solutions
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PRIEX PIMCO RealRetirement 2010 At NAV
At MOP
-
-
3.59%
-
16.75%
-
-
-
-
-
-
-
3.06%
-
03.31.08
03.31.08
PRWIX PIMCO RealRetirement 2020 At NAV
At MOP
-
-
2.37%
-
15.72%
-
-
-
-
-
-
-
1.17%
-
03.31.08
03.31.08
PRLIX PIMCO RealRetirement 2030 At NAV
At MOP
-
-
1.03%
-
17.31%
-
-
-
-
-
-
-
-.79%
-
03.31.08
03.31.08
PROIX PIMCO RealRetirement 2040 At NAV
At MOP
-
-
.39%
-
19.98%
-
-
-
-
-
-
-
-1.38%
-
03.31.08
03.31.08
PRMIX PIMCO RealRetirement 2050 At NAV
At MOP
-
-
.63%
-
24.22%
-
-
-
-
-
-
-
-1.20%
-
03.31.08
03.31.08
Retirement Income
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PRIFX PIMCO Real Income 2019 At NAV
At MOP
-
-
2.99%
-
-
-
-
-
-
-
-
-
3.72%
-
10.30.09
10.30.09
PRIIX PIMCO Real Income 2029 At NAV
At MOP
-
-
5.12%
-
-
-
-
-
-
-
-
-
5.89%
-
10.30.09
10.30.09
Asset Allocation
Annualized
Symbol Fund Name Max. Sales Charge YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PAAIX PIMCO All Asset At NAV
At MOP
-
-
5.08%
-
17.76%
-
4.82%
-
5.12%
-
-
-
8.68%
-
07.31.02
07.31.02
PAUIX PIMCO All Asset All Authority At NAV
At MOP
-
-
6.72%
-
15.95%
-
8.49%
-
6.62%
-
-
-
8.10%
-
10.31.03
10.31.03
PGAIX PIMCO Global Multi-Asset At NAV
At MOP
-
-
-2.71%
-
11.45%
-
-
-
-
-
-
-
9.72%
-
10.29.08
10.29.08
Money Market Funds -- Inst Shares

The 7-day yield is updated on the seventh business day of the current month; it reflects the yield as of the last business day of the preceding month. The yield quotation more closely reflects the current earnings of the PIMCO Money Market Fund than the total return quotation.

 

An investment in the PIMCO Money Market Fund is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. Although the Fund seeks to preserve the value of your investment at $1.00 per share, it is possible to lose money by investing in the Fund.

Annualized
Symbol Fund Name 7-Day Yield YTD Return 1-yr 3-yr 5-yr 10-yr Since
Inception
Inception
Date
PMIXX PIMCO Money Market .05% .02% .08% 1.65% 2.80% 2.57% 3.64% 03.01.91

Investors should consider the investment objectives, risks, charges and expenses of any mutual fund carefully before investing. This and other information is contained in the fund´s prospectus and summary prospectus, if available, which may be obtained by contacting your financial advisor. Click here for a complete list of the PIMCO Funds and Allianz Funds prospectuses and summary prospectuses. Please read them carefully before you invest or send money.

For any returns less than one year, the returns are cumulative.

 

Returns measure performance from the inception of the oldest share class to the present and assume that all dividend and capital gain distributions were reinvested on the payable date. For fund classes with a sales charge, returns have been presented both with and without a sales charge. Please see each fund's profile page for more complete information on the fund, including the necessary risk disclosures. Returns shown do not reflect the deduction of taxes that a shareholder would pay on fund distributions or the redemption of fund shares.

 

These Funds may use derivative instruments for hedging purposes or as part of an investment strategy. Use of these instruments may involve certain costs and risks such as liquidity risk, interest rate risk, market risk, credit risk, management risk and the risk that a fund could not close out a position when it would be most advantageous to do so.  Portfolios investing in derivatives could lose more than the principal amount invested in these instruments.

 

Equity funds are subject to the basic stock market risk that a particular security, or securities in general, may decrease in value. When investing in value securities, the market may not necessarily have the same value assessment as the manager, and, therefore, the performance of the securities may decline. Investments in overseas markets pose special risks, including currency fluctuation and political risks, and the portfolio is expected to be more volatile than that of a U.S. only portfolio. The securities of emerging markets may be less liquid and are subject to the risks of currency fluctuations and political developments. Small-cap stocks may be subject to a higher degree of risk than more established companies’ securities.  The illiquidity of the small-cap market may adversely affect the value of these investments.

 

Each sector of the bond market entails risk. Shareholders of a municipal bond fund will, at times, incur a tax liability, as income from these funds may be subject to state and local taxes and, where applicable, the alternative minimum tax. The guarantee on Treasuries and Government Bonds is to the timely repayment of principal and interest.  Shares of the Funds are not guaranteed. Mortgage-backed securities and Corporate Bonds may be sensitive to interest rates. When interest rates rise, the value of fixed income securities generally declines. There is no assurance that private guarantors or insurers will meet their obligations. 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. Investing in foreign securities may entail risk due to foreign economic and political developments; this risk may be enhanced when investing in emerging markets.

 

The principal value of inflation indexed bonds adjusts to the rate of inflation. If the index measuring inflation rises or falls, the principal value will be adjusted accordingly, which will influence the interest payable on these securities. A fund which concentrates its assets in one or a few sectors may entail greater risk than a fully diversified fund and should be considered as only part of a diversified portfolio.

 

The PIMCO CommodityRealReturn Strategy Fund may invest in and will typically seek to gain exposure to the commodity markets by investing in commodity-linked derivative instruments, swap transactions, or index-linked and commodity-linked "structured" notes. The value of a commodity-linked derivative is generally based on price movements of a physical commodity such as energy, mineral or agricultural products, a commodity futures contract or commodity index, or other economic variables based on changes in the value of commodities or the commodities' markets. These instruments are backed by a portfolio of inflation-indexed securities and other fixed income instruments. Investments in commodities may be affected by overall market movements, changes in interest rates, and other factors such as weather, disease, embargoes and international economic and political developments. A Fund’s investments in commodity-linked derivative instruments may subject the Fund to greater volatility than investments in traditional securities. The PIMCO All Asset and All Asset All Authority Funds' NAV will fluctuate in response to changes in the NAV of the underlying Funds, and the cost of investing in those Funds will generally be higher than the cost of investing in a mutual fund that invests directly in individual stocks and bonds.

 

* The Contingent Deferred Sales Charge (CDSC) on Class C shares of this fund is imposed only on shares redeemed in the first year.

 

**  The Contingent Deferred Sales Charge (CDSC) on Class C shares of this fund is imposed only on shares redeemed in the first 18  months.

 

PIMCO Funds and Allianz Funds are distributed by Allianz Global Investors Distributors LLC, 1345 Avenue of the Americas, New York, NY 10105-4800, www.allianzinvestors.com, 1-888-877-4626.

Investment Products: NOT FDIC INSURED | MAY LOSE VALUE | NOT BANK GUARANTEED


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