Share Class : null
8.500
+0.24%
NAV in SGD. As of 20:00:00 SGT
PIMCO Income Fund
Chart
Key stats
- 52-Week HighSGD 8.70
- 52-Week LowSGD 8.19
- Estimated AUMN/A
- Inception dateN/A
- NAV8.50
- Expense ratioN/A
- Fund HousePIMCO Global Advisors (Ireland) Limited
Fund Description
The PIMCO Income Fund is an actively managed total returns fixed income portfolio that seeks to provide steady income, with longer term capital appreciation a secondary objective.
Key Features
Annualised Return
Figures shown are annualised | |
---|---|
1 Year | 3.04% |
3 Year | -1.01% |
5 Year | 1.15% |
10 Year | 2.70% |
Beansprout Insights
Top 10 Holdings
Fund Documents
- Prospectus
- Factsheet