PIMCO Funds Companies By Bonds Weight

Net AssetEfficiencyMarket RiskExp Return
1PONAX Pimco Income Fund
123.71 B
 0.03 
 0.20 
 0.01 
2PONCX Pimco Income Fund
123.71 B
 0.02 
 0.19 
 0.00 
3PIPNX Pimco Income Fund
121.9 B
 0.04 
 0.20 
 0.01 
4PONRX Pimco Income Fund
112.95 B
 0.03 
 0.20 
 0.01 
5PONPX Pimco Incme Fund
112.95 B
 0.04 
 0.20 
 0.01 
6PIINX Pimco Income Fund
112.95 B
 0.04 
 0.20 
 0.01 
7PIMIX Pimco Income Fund
112.95 B
 0.04 
 0.20 
 0.01 
8PTRRX Total Return Fund
69.25 B
(0.03)
 0.30 
(0.01)
9PTRAX Total Return Fund
69.25 B
(0.03)
 0.30 
(0.01)
10PTTPX Pimco Total Return
69.25 B
(0.03)
 0.30 
(0.01)
11PTTRX Total Return Fund
69.25 B
(0.03)
 0.31 
(0.01)
12PTTNX Pimco Total Return
54.98 B
(0.03)
 0.30 
(0.01)
13PTTAX Total Return Fund
54.61 B
(0.03)
 0.30 
(0.01)
14PTTCX Total Return Fund
54.61 B
(0.05)
 0.30 
(0.01)
15PSFAX Short Term Fund Administrative
20.22 B
 0.19 
 0.09 
 0.02 
16PTSHX Short Term Fund Institutional
20.22 B
 0.19 
 0.09 
 0.02 
17PTSPX Pimco Short Term Fund
20.22 B
 0.19 
 0.09 
 0.02 
18PTSRX Short Term Fund R
20.22 B
 0.18 
 0.08 
 0.01 
19PAAIX All Asset Fund
18.96 B
 0.03 
 0.35 
 0.01 
20PAALX All Asset Fund
18.96 B
 0.03 
 0.35 
 0.01 
The analysis above is based on a 90-day investment horizon and a default level of risk. Use the Portfolio Analyzer to fine-tune all your assumptions. Check your current assumptions here.
Net Asset is the current market value of a fund less its liabilities. In a nutshell, if the fund is liquidated or all of the assets is sold out, the net asset will be the amount that the shareholders would demand back from the fund. Net Asset is the value used in calculating NAV of a fund. NAV (or Net Asset Value) is computed once a day based on the formula that uses closing prices of all positions in the fund's portfolio.