GIS Dynamic Bond Fund

ISIN: IE00B3FNF987

Updated 07 August 2020

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  • DAILY NAV (USD)
    14.25
  • DAILY YTD RETURN
    2.30%
  • TOTAL NET ASSETS (USD)
    3,097 MM
    (as of 31/07/2020)
  • TOTAL NET ASSETS (USD)
    3,097 MM
    (as of 31/07/2020)
  • CLASS
    Fixed Income
  • CLASS INCEPTION DATE
    15/12/2008
  • CLASS
    Fixed Income
  • CLASS INCEPTION DATE
    15/12/2008

Objective

The investment objective of the Dynamic Bond Fund is to seek maximum long-term return, consistent with preservation of capital and prudent investment management.

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Overview

Prior to 1 October 2018, the Dynamic Bond Fund was named the Unconstrained Bond Fund.

Fund Description

The PIMCO Dynamic Bond Fund is benchmark-agnostic, multi-sector fixed income strategy with a global opportunity set that seeks to generate potentially attractive risk-adjusted returns. The fund utilizes PIMCO’s global secular forecast and an integrated investment process across multiple sectors with a duration that may range from -3 to +8 years.

Investor Benefits

This fund benefits from broad flexibility to navigate evolving market conditions, offers the potential for attractive risk-adjusted return, and strong diversification within an overall portfolio context.

The Fund Advantage

The fund’s broader Investment discretion allows it to tap into credit, interest rate and currency opportunities across global bond sectors and regions. The fund can adjust its risk profile higher or lower to move nimbly across the global bond universe as conditions change, increasing exposures to segments with the most attractive risk-adjusted return potential characteristics.

BENCHMARK

1 Month USD LIBOR

BENCHMARK DESCRIPTION

1 Month USD LIBOR (London Interbank Offered Rate) is an average interest rate, determined by the ICE Benchmark Administration, that banks charge one another for the use of short-term money in England's Eurodollar market. It is not possible to invest directly in an unmanaged index.

DIVIDEND FREQUENCY

SHARE CLASS INCEPTION

15/12/2008

OLDEST SHARE CLASS

OLDEST SHARE CLASS INCEPTION

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BASE CURRENCY

ISIN

IE00B3FNF987

TICKER

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SEDOL

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SHARE CLASS CURRENCY

CUSIP

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VALOREN

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WKN

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VAG Compliance

Traspasable

Yes

RELATED

Managers

Marc P. Seidner

CIO Non-traditional Strategies

View Profile for Marc P. Seidner

Mohsen Fahmi

Portfolio Manager, Global Fixed Income

View Profile for Mohsen Fahmi

Daniel J. Ivascyn

Group Chief Investment Officer

View Profile for Daniel J. Ivascyn

Yields & Distributions

Historical Prices & Distributions

Estimated Gross Yield to Maturity1 as of 30/06/2020 2.72%
Current Yield2 as of 30/06/2020 2.78%

disclosures

1PIMCO calculates a Fund's Estimated Yield to Maturity by averaging the yield to maturity of each security held in the Fund on a market weighted basis. PIMCO pulls each security's yield to maturity from PIMCO's Portfolio Analytics database. When not available in the PIMCO's Portfolio Analytics database, PIMCO pulls the security's yield to maturity from Bloomberg. When not available in either database, PIMCO will assign a yield to maturity for that security from a PIMCO matrix based on prior data.
2The estimate of current yield is based on PIMCO's best judgment for the securities in the portfolio on the date shown. PIMCO makes no representation on the accuracy or the methodology used.

Fees & Expenses

Unified Fee 0.90%

Prices & Performance

Daily Statistics

All data as of 07/08/2020

NAV (USD) 14.25 One Day Return 0.14%
Daily Change (USD) 0.02 Daily YTD Return 2.30%

All data as of

All data as of

Performance quoted represents past performance and is not a guarantee or a reliable indicator of future results. Investment return and the principal value of an investment will fluctuate. Shares may be worth more or less than original cost when redeemed. Current performance may be lower or higher than average annual returns shown.

Calendar Year Returns %

All data as of

Morningstar Ratings

disclosures

Performance quoted represents past performance. Past performance is not a guarantee or a reliable indicator 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. Performance data current to the most recent month-end is available by calling +44 203 3640 1552.
A rating is not a recommendation to buy, sell or hold a fund. © 2020 Morningstar, Inc. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results. For more detailed information about Morningstar Rating, including its methodology, please go to: The Morningstar Rating Methodology.

Portfolio Composition

All data as of unless otherwise stated

Maturity %

0-1 yrs 27.13
1-3 yrs 43.88
3-5 yrs 29.94
5-10 yrs 5.68
10-20 yrs 2.78
20+ yrs -9.41
Effective Maturity (yrs) 0.60

Risk Characteristics
(Trailing 3 Years)

Standard Deviation 3.54
Sharpe Ratio3 0.39
Information Ratio4 0.35
Tracking Error5 3.64

Top 10 Country by Currency of Settlement (Duration in Yrs)

United States 1.24
Italy 0.35
European Union 0.12
Peru 0.10
Canada 0.05
Mexico 0.04
France 0.04
Greece 0.03
Germany -0.04
United Kingdom -0.40

Duration Yrs

0-1 yrs -0.03
1-3 yrs 1.00
3-5 yrs 0.73
5-7 yrs 0.82
7-8 yrs -0.26
8-10 yrs 0.48
10+ yrs -1.16
Effective Duration (yrs) 1.58

Sector Allocation - Duration in Years

Government Related6 -1.38
Securitized 1.55
Invest. Grade Credit 0.92
High Yield Credit 0.11
Emerging Markets7 0.26
Municipal/Other8 0.08
Net Other Short Duration Instruments9 0.05

Top 10 Country by Currency of Settlement (FX%)