1 day+0.12%
1 week+0.50%
Current month+0.50%
1 month-3.71%
3 months-9.20%
6 months-13.73%
Current year-9.20%
1 week 15.86
Extreme 15.865
16.19
1 month 15.82
Extreme 15.815
16.81
Current year 15.82
Extreme 15.815
19
1 year 15.82
Extreme 15.815
20.17
3 years 15.45
Extreme 15.45
20.9
5 years 15.45
Extreme 15.45
29.1
10 years 15.45
Extreme 15.45
34.04
Manager TitleAgeSince
President 50 2023-12-31
Compliance Officer 51 2017-12-31
Corporate Officer/Principal 56 2018-12-31
Director TitleAgeSince
Chairman 73 2025-12-31
Director/Board Member 70 2018-12-31
Director/Board Member 71 2021-12-31
Date Insider Type Main position Quantity % Market Cap.
7/15/26 Buy 100,000 0.0217%
1/22/26 Other 3,304 0.0009%
1/22/26 Other 2,208 0.0006%
Change 5-day change 1-year change 3-year change Capi.($)
+0.12%+0.50%-16.77%-17.71% 7.42B
+2.08%+7.45%+26.13%+119.57% 15.59B
+3.22%+10.74%+60.15%+166.24% 13.16B
+0.20%+2.73%-2.49%+30.66% 9.31B
+2.95%+8.92%+38.57%+141.98% 8.06B
-1.24%+5.60%+19.87%+48.43% 6.66B
0.00%+1.18%+8.46%+25.24% 4.79B
+1.02%+0.93%+10.49%+8.18% 4.09B
+3.75%+4.67% - - 3.92B
+0.14%+2.21%+14.31%+8.42% 3.49B
Average +1.22%+4.49%+17.64%+59.00% 7.65B
Weighted average by Cap. +1.47%+5.64%+22.43%+80.70%
Logo PIMCO Dynamic Income Fund
PIMCO Dynamic Income Fund (the Fund) is a diversified closed-end management investment company. The Funds primary investment objective is to seek current income as a primary objective and capital appreciation as a secondary objective. It normally invests worldwide in a portfolio of debt obligations and other income-producing securities of any type and credit quality, with varying maturities and related derivative instruments. The Fund’s investment universe includes mortgage-backed securities, investment grade and high-yield corporates, developed and emerging market corporate and sovereign bonds, other income-producing securities, and related derivative instruments. It normally invests at least 25% of its total assets in privately issued (non-agency) mortgage-related securities. The Fund may normally invest up to 40% of its total assets in securities of issuers economically tied to emerging market countries. The Fund’s investment manager is Pacific Investment Management Company LLC.
Employees
-
Date Price Change Volume
26-08-07 US$16.08 +0.12% 2,255,111
26-08-06 US$16.06 +0.25% 1,765,093
26-08-05 US$16.02 -0.80% 2,230,514
26-08-04 US$16.15 +1.44% 3,348,157
26-08-03 US$15.92 -0.50% 4,035,877
Sell
Consensus
Buy
Mean consensus
HOLD
Number of Analysts
1
Last Close Price
16.08
Average target price
-