Net Asset Value • Jul 29, 2020
Net Asset Value
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RNS Number : 4994U
PIMCO ETFs Public Limited Company
29 July 2020
| Fund: | PIMCO Sterling Short Maturity UCITS ETF |
| E | |
| Date: | 28/7/2020 |
| Curr: | GBP |
| NAV: | 102.50 |
| Shrs: | 1,478,279.00 |
| Tckr: | QUID |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 119.87 |
| Shrs: | 945,356.00 |
| Tckr: | STYC |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| 3 | |
| Date: | 28/7/2020 |
| Curr: | CHF |
| NAV: | 104.30 |
| Shrs: | 110,093.00 |
| Tckr: | STHC |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| E | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 94.56 |
| Shrs: | 3,592,338.00 |
| Tckr: | STHY LN |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| 4 | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 98.03 |
| Shrs: | 591,021.00 |
| Tckr: | STEA LN |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| G | |
| Date: | 28/7/2020 |
| Curr: | GBP |
| NAV: | 9.18 |
| Shrs: | 4,714,464.00 |
| Tckr: | STHS |
| Fund: | PIMCO US Short-Term High Yield Corporate Bond Index UCITS ETF |
| F | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 80.25 |
| Shrs: | 8,013,065.00 |
| Tckr: | STHE LN |
| Fund: | PIMCO Covered Bond UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 114.04 |
| Shrs: | 906,500.00 |
| Tckr: | COVR GR/GY |
| Fund: | PIMCO US Low Duration Corporate Bond UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 105.37 |
| Shrs: | 1,194,182.00 |
| Tckr: | LDCU |
| Fund: | PIMCO US Low Duration Corporate Bond UCITS ETF |
| 3 | |
| Date: | 28/7/2020 |
| Curr: | CHF |
| NAV: | 104.36 |
| Shrs: | 81,555.00 |
| Tckr: | LDCC |
| Fund: | PIMCO Euro Low Duration Corporate Bond UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 103.53 |
| Shrs: | 2,955,966.00 |
| Tckr: | LDCE |
| Fund: | PIMCO Emerging Markets Advantage Local Bond Index UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 103.05 |
| Shrs: | 2,377,775.00 |
| Tckr: | EMLB |
| Fund: | PIMCO Emerging Markets Advantage Local Bond Index UCITS ETF |
| E | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 73.26 |
| Shrs: | 1,550,136.00 |
| Tckr: | EMLI |
| Fund: | PIMCO Euro Short Maturity UCITS ETF |
| 2 | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 97.96 |
| Shrs: | 9,532,088.00 |
| Tckr: | PJSR |
| Fund: | PIMCO Euro Short Maturity UCITS ETF |
| E | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 99.73 |
| Shrs: | 15,792,974.00 |
| Tckr: | PJS1 |
| Fund: | PIMCO Euro Short-Term High Yield Corporate Bond Index UCITS ETF |
| F | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 9.36 |
| Shrs: | 5,523,203.00 |
| Tckr: | EUHI |
| Fund: | PIMCO Euro Short-Term High Yield Corporate Bond Index UCITS ETF |
| 3 | |
| Date: | 28/7/2020 |
| Curr: | EUR |
| NAV: | 9.97 |
| Shrs: | 5,167,418.00 |
| Tckr: | EUHA |
| Fund: | PIMCO US Dollar Short Maturity UCITS ETF |
| E | |
| Date: | 28/7/2020 |
| Curr: | USD |
| NAV: | 101.47 |
| Shrs: | 38,926,308.00 |
| Tckr: | MINT LN |
| Fund: | PIMCO US Dollar Short Maturity UCITS ETF |
| L | |
| Date: | 28/7/2020 |
| Curr: | GBP |
| NAV: | 100.65 |
| Shrs: | 5,562.00 |
| Tckr: | MIST |
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