PIMCO Asia HY Bd.Fd.E EUR H/  IE00BN783L91  /

Fonds
NAV2024-05-14 Chg.+0.0100 Type of yield Investment Focus Investment company
6.4200EUR +0.16% paying dividend Bonds Asia (excl. Japan) PIMCO Gl. Ad. (IE) 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2020 - - - - - - - - - -0.70 2.62 1.55 -
2021 -0.58 0.40 -0.07 0.96 0.52 -1.33 -3.69 2.33 -4.11 -5.07 -1.29 -0.67 -12.14%
2022 -3.58 -4.63 -1.93 -1.11 -3.59 -7.30 -2.89 3.13 -6.97 -8.71 15.27 6.80 -16.54%
2023 6.15 -2.69 -2.96 -1.49 -3.97 2.67 -1.34 -4.10 0.43 -0.88 4.52 1.54 -2.69%
2024 1.96 1.65 1.81 -0.93 1.74 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 3.20% 3.18% 4.36% 8.05% -%
Sharpe ratio 4.57 6.17 0.87 -1.60 -
Best month +1.96% +4.52% +4.52% +15.27% -
Worst month -0.93% -0.93% -4.10% -8.71% -
Maximum loss -1.56% -1.56% -7.16% -41.99% -
Outperformance - - - - -
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
PIMCO Asia HY Bd.Fd.E USD reinvestment 8.7000 +9.57% -20.55%
PIMCO Asia HY Bd.Fd.Inst.AUD H paying dividend 6.7600 +8.92% -
PIMCO Asia HY Bd.Fd.Inst.GBP H reinvestment 8.3800 +10.12% -
PIMCO Asia HY Bd.Fd.Inst.SGD H paying dividend 6.8400 +8.88% -
PIMCO Funds - Global Investors S... reinvestment 8.0500 +10.27% -19.50%
PIMCO Funds - Global Investors S... paying dividend 6.2900 +9.24% -20.18%
PIMCO Funds - Global Investors S... paying dividend 6.5800 +8.34% -20.87%
PIMCO Funds - Global Investors S... paying dividend 6.7200 +10.13% -19.30%
PIMCO Funds - Global Investors S... paying dividend 67.7300 +7.47% -20.59%
PIMCO Funds - Global Investors S... paying dividend 6.5800 +8.57% -21.86%
PIMCO Funds - Global Investors S... paying dividend 6.2200 +5.23% -27.14%
PIMCO Funds - Global Investors S... reinvestment 7.6800 +5.21% -27.07%
PIMCO Funds - Global Investors S... paying dividend 6.2200 +6.18% -25.14%
PIMCO Funds - Global Investors S... reinvestment 7.9200 +6.17% -25.14%
PIMCO Funds - Global Investors S... reinvestment 8.2700 +10.41% -18.84%
PIMCO Funds - Global Investors S... paying dividend 6.6700 +10.51% -18.81%
PIMCO Funds - Global Investors S... paying dividend 6.8500 +9.49% -20.63%
PIMCO Funds - Global Investors S... paying dividend 6.3200 +9.59% -20.59%
PIMCO Funds - Global Investors S... paying dividend 6.6500 +7.91% -22.19%
PIMCO Funds - Global Investors S... paying dividend 6.1300 +7.87% -22.19%
PIMCO Funds - Global Investors S... paying dividend 6.8600 +10.09% -19.55%
PIMCO Funds - Global Investors S... paying dividend 6.8300 +9.31% -20.02%
PIMCO Funds - Global Investors S... reinvestment 9.9300 +11.32% -16.83%
PIMCO Asia HY Bd.Fd.Inst.USD paying dividend 6.8500 +10.48% -18.45%
PIMCO Asia HY Bd.Fd.Inst.EUR H reinvestment 8.2100 +8.60% -22.77%
PIMCO Asia HY Bd.Fd.Inst.EUR H paying dividend 6.4300 +8.72% -22.71%
PIMCO Asia HY Bd.Fd.Inst.USD reinvestment 9.5900 +10.61% -18.45%
PIMCO Asia HY Bd.Fd.Inst.GBP H paying dividend 6.5000 +10.09% -19.39%
PIMCO Asia HY Bd.Fd.Inv.EUR H paying dividend 6.2900 +8.17% -23.44%
PIMCO Asia HY Bd.Fd.E EUR H reinvestment 7.9600 +7.71% -24.76%
PIMCO Asia HY Bd.Fd.E EUR H paying dividend 6.4200 +7.58% -24.79%

Performance

YTD  
+6.36%
6 Months  
+10.99%
1 Year  
+7.58%
3 Years
  -24.79%
5 Years     -
10 Years     -
Since start
  -21.39%
Year
2023
  -2.69%
2022
  -16.54%
2021
  -12.14%
 

Dividends

2024-04-29 0.04 EUR
2024-03-27 0.03 EUR
2024-02-28 0.03 EUR
2024-01-30 0.04 EUR
2023-12-28 0.03 EUR
2023-11-29 0.04 EUR
2023-10-30 0.04 EUR
2023-09-28 0.04 EUR
2023-08-30 0.04 EUR
2023-07-28 0.04 EUR
2023-06-29 0.05 EUR
2023-05-25 0.04 EUR
2023-04-27 0.04 EUR
2023-03-30 0.04 EUR
2023-02-27 0.04 EUR
2023-01-30 0.04 EUR
2022-12-29 0.04 EUR
2022-11-29 0.04 EUR
2022-10-28 0.03 EUR
2022-09-29 0.04 EUR
2022-08-26 0.03 EUR
2022-07-28 0.03 EUR
2022-06-29 0.03 EUR
2022-05-25 0.03 EUR
2022-04-28 0.02 EUR
2022-03-30 0.04 EUR
2022-02-25 0.04 EUR
2022-01-27 0.04 EUR
2021-12-29 0.04 EUR
2021-11-29 0.02 EUR
2021-10-28 0.02 EUR
2021-09-29 0.04 EUR
2021-08-27 0.04 EUR
2021-07-29 0.04 EUR
2021-06-29 0.04 EUR
2021-05-27 0.03 EUR
2021-04-29 0.04 EUR
2021-03-30 0.04 EUR
2021-02-25 0.04 EUR
2020-12-30 0.04 EUR