PIMCO California Municipal Income Fund II reported earnings results for the third quarter and nine months ended February 28, 2013. For the quarter, the company reported net investment income of $2,086,838 or $0.18 per against $2,243,897 or $0.20 per share for the same period a year ago. Net realized and change in unrealized loss was $4,535,235 or $0.41 per share compared to net realized and change in unrealized gain of $9,381,703 or $0.86 per share for the same period last year.

For the nine months, the company reported net investment income of $6,488,236 or $0.59 per against $6,827,836 or $0.63 per share for the same period a year ago. Net realized and change in unrealized gain was $3,906,857 or $0.36 per share compared to $11,985,972 or $1.10 per share for the same period last year. Net asset value as at February 28, 2013 was $11.71 compared to $11.22 as at February 29, 2012.