PIMCO Active Bond Exchange-Traded Fund Exchange-Traded FundPIMCO Active Bond Exchange-Traded Fund Exchange-Traded FundPIMCO Active Bond Exchange-Traded Fund Exchange-Traded Fund

PIMCO Active Bond Exchange-Traded Fund Exchange-Traded Fund

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Statistik utama

Assets under management (AUM)
‪4.12 B‬USD
Aliran dana (1T)
‪840.88 M‬USD
Hasil dividen (dinyatakan)
4.19%
Diskaun/Premium kepada NAV
0.04%

Mengenai PIMCO Active Bond Exchange-Traded Fund Exchange-Traded Fund

Pengeluar
Allianz SE
Jenama
PIMCO
Nisbah perbelanjaan
0.58%
Laman Utama
Tarikh penubuhan
29 Feb 2012
Indeks dijejak
No Underlying Index
Gaya pengurusan
Aktif

Pengelasan

Kelas Aset
Pendapatan tetap
Kategori
Pasaran luas, menyeluruh
Fokus
Kredit luas
Niche
Kematangan luas
Strategi
Aktif
Skim pemberat
Proprietari
Kriteria pemilihan
Proprietari
Apa dalam dana
Jenis pendedahan
SahamBon, Tunai & Lain-lain
Securitized
Korporat
Saham0.00%
Kewangan0.00%
Bon, Tunai & Lain-lain100.00%
Securitized66.71%
Korporat22.32%
Kerajaan9.36%
ETF1.84%
Lain-lain1.40%
Perbandaran0.69%
Loans0.17%
Tunai−2.49%
Kesimpulan dari cadangan penunjuk.
Pengayun
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Pengayun
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Moving Averages
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Moving Averages
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat