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PTNDX  PIMCO RealRetirement Inc and Distribution Fd;D
 
NASDAQ

Net Asset Value
$8.61
Change
-0.08 (0.92%)
YTD
-0.18 (2.05%)
 
The Fund seeks to maximize real return, consistent with preservation of real capital during the accumulation years and current income during the retirement years. The Funds seek to achieve their investment objective by investing under normal circumstances a significant portion of their assets in Underlying Funds.
Growth of $10,000 Since March 2008

Top 5 Holdings

 
PTTRXPIMCO Total Return Fund;Institutional26.92%
PRRIXPIMCO Real Return Fund;Institutional19.14%
PTLDXPIMCO Low Duration Fund;Institutional9.94%
--PIMCO Short-Term Floating NAV Portfolio7.10%
PSTKXPIMCO StocksPLUS Fund;Institutional6.12%
Total
69.22%
More Holdings >

Lipper Leader Scorecard

Total
Return
Consistent
Return
Preser-
vation
Tax
Efficiency
Expense
Highest
Lowest
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Fund Highlights
  • Net Asset Value
    $8.61
  • Previous Day Close
    $8.69
  • Total Net Assets
    $3.3 M
  • Total Standardized Returns
    1 Year
    3 Year
    5 Year
    10 Year
    Since incept.
    3.15%
    5.38%
    4.53%
    --
    4.39%
  • Distribution Yield (TTM)
    3.82%
  • Gross Expense Ratio
    1.68%
  • Net Expense Ratio
    1.25%
  • Fund Category
    US Diversified Equity
  • Fund Classification
    Mixed-Asset Targ Today
  • Investment Minimum (initial / additional)
    Individual / Joint
    $1,000 / $100
    IRA / ESA
    $1,000 / $100
    Custodial
    $1,000 / $100
    After the initial investment minimum is met, additional investments ($50 or more) can be made via your Automatic Investment Plan.
  • Inception Date
    03/31/2008
  • Manager
    Vineer Bhansali
  • Managed Since
    2011
Geographical Exposure
74%
12%
4%
2%
1%
1%
Other: 7%
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