1 day-0.23%
1 week-0.64%
Current month+1.31%
1 month+1.07%
3 months-0.51%
6 months+7.72%
Current year+15.23%
1 week 21.62
Extreme 21.62
21.95
1 month 20.88
Extreme 20.88
21.99
Current year 18.8
Extreme 18.8
22.28
1 year 18.47
Extreme 18.47
25.21
3 years 16.84
Extreme 16.84
32.88
5 years 11.01
Extreme 11.01
32.88
10 years 3.39
Extreme 3.39
32.88
Manager TitleAgeSince
President 56 2019-04-30
Compliance Officer 51 2017-12-31
Treasurer 48 2020-12-31
Director TitleAgeSince
Chairman 73 2018-12-31
Director/Board Member 70 2019-02-03
Director/Board Member 73 -
Date Insider Type Main position Quantity % Market Cap.
8/18/26
Saba Capital Management LP
SellCompany -13,396 0.0300%
8/18/26 Buy 6,020 0.0135%
8/6/26 Buy 25,000 0.0559%
Change 5-day change 1-year change 3-year change Capi.($)
-0.23%-0.64%-10.95%+27.82% 967M
+0.94%+5.12%+36.51%+135.85% 16.76B
-0.57%+5.63%+72.83%+174.94% 14.35B
-0.82%-1.52%-9.51%+29.90% 9.23B
-0.02%+4.81%+50.35%+158.57% 8.28B
+1.39%-0.65%-20.65%-16.28% 7.08B
+1.65%+4.01%+19.24%+46.65% 7.03B
+0.89%+3.40%+12.38%+34.58% 4.97B
+0.28%-0.27%+10.54%+8.13% 4.11B
-0.45%-0.55% - - 3.95B
Average +0.31%+2.21%+17.86%+66.68% 7.67B
Weighted average by Cap. +0.32%+3.49%+28.44%+93.73%
Logo PIMCO Dynamic Income Strategy Fund
PIMCO Dynamic Income Strategy Fund is a non-diversified, limited term, closed-end management investment company. The Fund seeks to achieve its investment objectives by utilizing a dynamic asset allocation strategy among multiple sectors in the global public and private credit markets, including corporate debt, mortgage-related and other asset-backed instruments, government and sovereign debt, taxable municipal bonds and other fixed-, variable- and floating-rate income-producing securities of United States (U.S.) and foreign issuers, including emerging market issuers and real estate-related investments. The Fund may invest without limitation in investment grade debt securities and below investment grade debt securities (high yield securities or junk bonds), including securities of stressed, distressed or defaulted issuers. The Fund normally invests at least 25% of its total assets in the energy industry. The Fund's investment manager is Pacific Investment Management Company LLC.
Employees
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Date Price Change Volume
26-08-24 US$21.64 -0.23% 79,991
26-08-21 US$21.69 -0.28% 68,702
26-08-20 US$21.75 -0.37% 83,954
26-08-19 US$21.83 +0.46% 99,634
26-08-18 US$21.73 -0.23% 107,619