1 day-1.06%
1 week-2.04%
Current month-0.50%
1 month-2.92%
3 months-0.99%
6 months-4.91%
Current year-8.82%
1 week 13.72
Extreme 13.72
14.24
1 month 13.72
Extreme 13.72
14.47
Current year 13.72
Extreme 13.72
16.09
1 year 13.72
Extreme 13.72
16.56
3 years 12.57
Extreme 12.57
17.24
5 years 12.57
Extreme 12.57
20.1
10 years 12.57
Extreme 12.57
20.1
Manager TitleAgeSince
President 56 2021-09-30
Compliance Officer 51 2021-09-30
Corporate Officer/Principal 44 2021-09-30
Director TitleAgeSince
Director/Board Member 73 2021-09-30
Director/Board Member 72 2021-12-31
Director/Board Member 63 2021-12-31
Date Insider Type Main position Quantity % Market Cap. Importance
1/24/24 Buy

Director

700 0.0016%
11/14/23 Buy

Director

1,000 0.0023%
4/11/23 Buy 7,000 0.0162%
Change 5-day change 1-year change 3-year change Capi.($)
-1.06%-2.04%-14.21%-1.76% 645M
+0.58%-2.20%+17.19%+120.24% 15.93B
+0.29%-3.46%+46.50%+167.90% 12.74B
+0.91%-2.52%-19.02%+24.43% 8.93B
+0.66%-2.47%+29.28%+146.92% 7.74B
-0.54%-3.72%-25.64%-15.71% 6.81B
-1.43%-2.54%+10.67%+31.15% 6.66B
+0.52%-0.64%+10.07%+27.63% 4.84B
-0.38%-1.58%+5.70%+5.49% 3.98B
+1.74%-1.26% - - 3.85B
Average +0.13%-2.09%+6.73%+56.26% 7.21B
Weighted average by Cap. +0.28%-2.45%+12.91%+82.96%
Logo PIMCO Access Income Fund
PIMCO Access Income Fund (the Fund) is a non-diversified, closed-end management investment company. The Fund seeks current income as a primary objective and capital appreciation as a secondary objective. 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 the United States 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, including securities of stressed, distressed, or defaulted issuers. The investment manager of the Fund is Pacific Investment Management Company LLC.
Employees
-
Date Price Change Volume
26-09-11 US$13.72 -1.65% 212,473
26-09-10 US$13.95 -1.06% 188,207
26-09-09 US$14.10 +0.14% 221,495
26-09-08 US$14.08 -1.12% 222,773
26-09-04 US$14.24 +1.28% 179,214
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