|
Inst. |
M |
I-2 |
I-3 |
Admin. |
A |
C |
C-2 |
R |
PIMCO All Asset Fund |
PAAIX |
— |
PALPX |
PAANX |
PAALX |
PASAX |
PASCX |
— |
PATRX |
PIMCO All Asset All
Authority Fund |
PAUIX |
— |
PAUPX |
PAUNX |
— |
PAUAX |
PAUCX |
— |
— |
PIMCO California
Intermediate Municipal
Bond Fund |
PCIMX |
— |
PCIPX |
— |
— |
PCMBX |
PCFCX |
— |
— |
PIMCO California
Municipal Bond Fund |
PCTIX |
— |
PCTPX |
— |
— |
PCTTX |
PCTGX |
— |
— |
PIMCO California
Municipal Intermediate
Value Fund |
GCMVX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO California
Municipal Opportunistic
Value Fund |
GCMFX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO California Short
Duration Municipal
Income Fund |
PCDIX |
— |
PCDPX |
— |
— |
PCDAX |
— |
— |
— |
PIMCO Climate Bond
Fund |
PCEIX |
— |
PCEPX |
PCEWX |
— |
PCEBX |
PCECX |
— |
— |
PIMCO CommoditiesPLUS® Strategy Fund |
PCLIX |
— |
PCLPX |
PCLNX |
— |
PCLAX |
PCPCX |
— |
— |
PIMCO CommodityRealReturn Strategy Fund® |
PCRIX |
— |
PCRPX |
PCRNX |
PCRRX |
PCRAX |
PCRCX |
— |
PCSRX |
PIMCO Credit Opportunities Bond Fund |
PCARX |
— |
PPCRX |
— |
— |
PZCRX |
PCCRX |
— |
— |
PIMCO Diversified Income Fund |
PDIIX |
— |
PDVPX |
PDNIX |
PDAAX |
PDVAX |
PDICX |
— |
— |
|
Inst. |
M |
I-2 |
I-3 |
Admin. |
A |
C |
C-2 |
R |
PIMCO Dynamic Bond
Fund |
PFIUX |
— |
PUCPX |
PFNUX |
— |
PUBAX |
PUBCX |
— |
PUBRX |
PIMCO Emerging
Markets Local Currency
and Bond Fund |
PELBX |
— |
PELPX |
PELNX |
— |
PELAX |
PELCX |
— |
— |
PIMCO Emerging
Markets Bond Fund |
PEBIX |
— |
PEMPX |
PEBNX |
— |
PAEMX |
PEBCX |
— |
— |
PIMCO Emerging
Markets Corporate Bond
Fund |
PEMIX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO Emerging
Markets Currency and
Short-Term Investments
Fund |
PLMIX |
— |
PLMPX |
— |
— |
PLMAX |
— |
— |
— |
PIMCO Emerging
Markets Full Spectrum
Bond Fund |
PFSIX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO ESG Income
Fund |
PEGIX |
— |
PEGPX |
PEGQX |
— |
PEGAX |
PEGBX |
— |
— |
PIMCO Extended
Duration Fund |
PEDIX |
— |
PEDPX |
— |
— |
— |
— |
— |
— |
PIMCO Global Advantage® Strategy Bond Fund |
PSAIX |
— |
— |
— |
— |
PGSAX |
— |
— |
— |
PIMCO Global Bond
Opportunities Fund
(U.S. Dollar-Hedged) |
PGBIX |
— |
PGNPX |
— |
— |
PAIIX |
PCIIX |
— |
— |
PIMCO Global Core
Asset Allocation Fund |
PGAIX |
— |
PGAPX |
— |
— |
PGMAX |
PGMCX |
— |
— |
PIMCO GNMA and
Government Securities
Fund |
PDMIX |
— |
PPGNX |
PANNX |
— |
PAGNX |
PCGNX |
— |
— |
PIMCO Government
Money Market Fund |
PGYXX |
PGFXX |
PGPXX |
— |
PGOXX |
AMAXX |
AMGXX |
— |
— |
PIMCO High Yield Fund |
PHIYX |
— |
PHLPX |
PHNNX |
PHYAX |
PHDAX |
PHDCX |
— |
PHYRX |
PIMCO High Yield
Municipal Bond Fund |
PHMIX |
— |
PYMPX |
PYMNX |
— |
PYMAX |
PYMCX |
— |
— |
PIMCO High Yield
Spectrum Fund |
PHSIX |
— |
PHSPX |
PHFNX |
— |
PHSAX |
PHSCX |
— |
— |
PIMCO Income Fund |
PIMIX |
— |
PONPX |
PIPNX |
PIINX |
PONAX |
PONCX |
— |
PONRX |
PIMCO Inflation
Response Multi-Asset
Fund |
PIRMX |
— |
PPRMX |
PFRMX |
— |
PZRMX |
— |
— |
— |
PIMCO International
Bond Fund (Unhedged) |
PFUIX |
— |
PFUPX |
PFUNX |
PFUUX |
PFUAX |
PFRCX |
— |
— |
PIMCO International
Bond Fund (U.S. Dollar-Hedged) |
PFORX |
— |
PFBPX |
PFONX |
PFRAX |
PFOAX |
PFOCX |
— |
PFRRX |
PIMCO Investment Grade Credit Bond Fund |
PIGIX |
— |
PBDPX |
PCNNX |
PGCAX |
PBDAX |
PBDCX |
— |
— |
|
Inst. |
M |
I-2 |
I-3 |
Admin. |
A |
C |
C-2 |
R |
PIMCO Long Duration
Total Return Fund |
PLRIX |
— |
PLRPX |
— |
— |
PLRAX |
PLRCX |
— |
—
|
PIMCO Long-Term
Credit Bond Fund |
PTCIX |
— |
PLCPX |
— |
— |
— |
— |
— |
—
|
PIMCO Long-Term Real
Return Fund |
PRAIX |
— |
PRTPX |
— |
— |
— |
— |
— |
—
|
PIMCO Long-Term
U.S. Government Fund |
PGOVX |
— |
PLTPX |
— |
— |
PFGAX |
PFGCX |
— |
—
|
PIMCO Low Duration
Fund |
PTLDX |
— |
PLDPX |
PTLNX |
PLDAX |
PTLAX |
PTLCX |
PLCCX |
PLDRX |
PIMCO Low Duration
Fund II |
PLDTX |
— |
— |
— |
PDFAX |
— |
— |
— |
— |
PIMCO Low Duration
Credit Fund |
PSRIX |
— |
PSRPX |
— |
— |
PSRZX |
PSRWX |
— |
— |
PIMCO Low Duration
ESG Fund |
PLDIX |
— |
PLUPX |
— |
— |
— |
— |
— |
— |
PIMCO Low Duration
Income Fund |
PFIIX |
— |
PFTPX |
PFNIX |
— |
PFIAX |
PFNCX |
PLDCX |
— |
PIMCO Low Duration
Opportunities Fund |
PUTIX |
— |
PUTPX |
— |
— |
ATMAX |
ATMCX |
— |
— |
PIMCO Moderate
Duration Fund |
PMDRX |
— |
PMOPX |
— |
— |
— |
— |
— |
— |
PIMCO Mortgage-Backed Securities Fund |
PTRIX |
— |
PMRPX |
PSANX |
— |
PMRAX |
PMRCX |
— |
— |
PIMCO Mortgage
Opportunities and Bond
Fund |
PMZIX |
— |
PMZPX |
PMZNX |
— |
PMZAX |
PMZCX |
— |
— |
PIMCO Municipal Bond
Fund |
PFMIX |
— |
PMUPX |
PMUNX |
— |
PMLAX |
PMLCX |
— |
— |
PIMCO National
Intermediate Municipal
Bond Fund |
PMNIX |
— |
PMNPX |
— |
— |
PMNTX |
PMNNX |
— |
— |
PIMCO National
Municipal Intermediate
Value Fund |
GNMVX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO National
Municipal Opportunistic
Value Fund |
GNMFX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO New York
Municipal Bond Fund |
PNYIX |
— |
PNYPX |
PNYNX |
— |
PNYAX |
PBFCX |
— |
— |
PIMCO Preferred and
Capital Securities Fund |
PFINX |
— |
PFPNX |
PFNNX |
— |
PFANX |
PFCJX |
— |
— |
PIMCO RAE Fundamental Advantage PLUS Fund |
PFATX |
— |
— |
— |
— |
PTFAX |
— |
— |
— |
PIMCO RAE PLUS
EMG Fund |
PEFIX |
— |
PEFPX |
— |
— |
PEFFX |
PEFCX |
— |
— |
PIMCO RAE PLUS Fund |
PXTIX |
— |
PIXPX |
PXTNX |
— |
PIXAX |
PIXCX |
— |
— |
|
Inst. |
M |
I-2 |
I-3 |
Admin. |
A |
C |
C-2 |
R |
PIMCO RAE PLUS
International Fund |
PTSIX |
— |
PTIPX |
— |
— |
PTSOX |
— |
— |
— |
PIMCO RAE PLUS
Small Fund |
PCFIX |
— |
PCCPX |
— |
— |
PCFAX |
PCFEX |
— |
— |
PIMCO RAE Worldwide
Long/Short PLUS Fund |
PWLIX |
— |
PWLMX |
— |
— |
PWLBX |
PWLEX |
— |
— |
PIMCO Real Return
Fund |
PRRIX |
— |
PRLPX |
PRNPX |
PARRX |
PRTNX |
PRTCX |
— |
PRRRX |
PIMCO RealEstateRealReturn Strategy Fund |
PRRSX |
— |
PETPX |
PNRNX |
— |
PETAX |
PETCX |
— |
— |
PIMCO Short Asset
Investment Fund |
PAIDX |
PAMSX |
PAIPX |
PANDX |
PAIQX |
PAIAX |
— |
— |
— |
PIMCO Short Duration
Municipal Income Fund |
PSDIX |
— |
PSDPX |
PSDUX |
— |
PSDAX |
PSDCX |
PCCMX |
— |
PIMCO Short-Term
Fund |
PTSHX |
— |
PTSPX |
PTSNX |
PSFAX |
PSHAX |
PFTCX |
— |
PTSRX |
PIMCO StocksPLUS®
Absolute Return Fund |
PSPTX |
— |
PTOPX |
PSPNX |
— |
PTOAX |
PSOCX |
— |
— |
PIMCO StocksPLUS®
Fund |
PSTKX |
— |
PSKPX |
PSTNX |
— |
PSPAX |
PSPCX |
— |
PSPRX |
PIMCO StocksPLUS®
International Fund
(Unhedged) |
PSKIX |
— |
PPLPX |
PSKNX |
— |
PPUAX |
PPUCX |
— |
— |
PIMCO StocksPLUS®
International Fund
(U.S. Dollar-hedged) |
PISIX |
— |
PIUHX |
PISNX |
— |
PIPAX |
PIPCX |
— |
— |
PIMCO StocksPLUS®
Long Duration Fund |
PSLDX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO StocksPLUS®
Short Fund |
PSTIX |
— |
PSPLX |
PSNNX |
— |
PSSAX |
PSSCX |
— |
— |
PIMCO StocksPLUS®
Small Fund |
PSCSX |
— |
PCKPX |
PSNSX |
— |
PCKAX |
PCKCX |
— |
— |
PIMCO Total Return
Fund |
PTTRX |
— |
PTTPX |
PTTNX |
PTRAX |
PTTAX |
PTTCX |
— |
PTRRX |
PIMCO Total Return
Fund II |
PMBIX |
— |
PMTPX |
— |
— |
— |
— |
— |
— |
PIMCO Total Return
Fund IV |
PTUIX |
— |
— |
— |
— |
PTUZX |
— |
— |
— |
PIMCO Total Return
Fund V |
PPEIX |
— |
— |
— |
— |
— |
— |
— |
— |
PIMCO Total Return
ESG Fund |
PTSAX |
— |
PRAPX |
PTRSX |
PRFAX |
PTGAX |
PTGCX |
— |
— |
PIMCO TRENDS Managed Futures Strategy Fund |
PQTIX |
— |
PQTPX |
PQTNX |
— |
PQTAX |
PQTCX |
— |
— |
1 | |
2 | |
4 | |
5 | |
18 | |
27 | |
28 | |
29 | |
33 | |
34 | |
34 | |
35 | |
36 | |
36 | |
37 | |
37 | |
38 | |
40 | |
41 | |
41 | |
41 | |
42 | |
58 | |
60 | |
61 | |
62 | |
62 | |
77 | |
79 | |
79 | |
79 | |
79 | |
80 | |
81 | |
81 | |
82 | |
82 | |
83 | |
83 | |
83 | |
84 | |
84 | |
84 | |
85 | |
85 | |
85 | |
86 | |
88 |
89 | |
90 | |
91 | |
92 | |
93 | |
93 | |
93 | |
98 | |
98 | |
98 | |
99 | |
100 | |
100 | |
102 | |
108 | |
108 | |
108 | |
109 | |
110 | |
113 | |
116 | |
118 | |
119 | |
120 | |
121 | |
121 | |
122 | |
124 | |
126 | |
127 | |
128 | |
129 | |
130 | |
130 | |
135 | |
137 | |
140 | |
140 | |
140 | |
149 | |
155 | |
155 | |
164 | |
164 | |
165 | |
166 | |
166 | |
167 | |
168 |
172 | |
175 | |
177 | |
178 | |
178 | |
179 | |
180 | |
184 | |
205 | |
206 | |
211 | |
212 | |
212 | |
212 | |
213 | |
213 | |
216 | |
228 | |
229 | |
232 | |
232 | |
233 | |
235 | |
238 | |
238 | |
239 | |
239 | |
240 | |
240 | |
241 | |
241 | |
241 | |
242 | |
243 | |
243 | |
243 | |
243 | |
244 | |
245 | |
245 | |
245 | |
246 | |
247 | |
414 | |
415 | |
415 | |
415 | |
415 | |
415
|
PIMCO All Asset Fund
PIMCO All Asset All Authority Fund
PIMCO California Intermediate Municipal Bond Fund
PIMCO California Municipal Bond Fund
PIMCO California Short Duration Municipal Income
Fund
PIMCO Climate Bond Fund
PIMCO CommoditiesPLUS® Strategy Fund
PIMCO CommodityRealReturn Strategy Fund®
PIMCO Credit Opportunities Bond Fund
PIMCO Diversified Income Fund
PIMCO Dynamic Bond Fund
PIMCO Emerging Markets Local Currency and Bond
Fund
PIMCO Emerging Markets Bond Fund
PIMCO Emerging Markets Corporate Bond Fund
PIMCO Emerging Markets Currency and Short-Term
Investments Fund
PIMCO Emerging Markets Full Spectrum Bond Fund
PIMCO ESG Income Fund
PIMCO Extended Duration Fund
PIMCO Global Advantage® Strategy Bond Fund
PIMCO Global Bond Opportunities Fund
(U.S. Dollar-Hedged)
PIMCO GNMA and Government Securities Fund
PIMCO Global Core Asset Allocation Fund
PIMCO Government Money Market Fund
PIMCO California Municipal Intermediate Value Fund
PIMCO California Municipal Opportunistic Value Fund
PIMCO National Municipal Intermediate Value Fund
PIMCO National Municipal Opportunistic Value Fund
PIMCO High Yield Fund
PIMCO High Yield Municipal Bond Fund
PIMCO High Yield Spectrum Fund
PIMCO Income Fund
PIMCO Inflation Response Multi-Asset Fund
PIMCO International Bond Fund (Unhedged)
PIMCO International Bond Fund (U.S. Dollar-Hedged) PIMCO Investment Grade Credit Bond Fund PIMCO Long Duration Total Return Fund PIMCO Long-Term Credit Bond Fund PIMCO Long-Term Real Return Fund |
PIMCO Long-Term U.S. Government Fund PIMCO Low Duration Fund PIMCO Low Duration Fund II PIMCO Low Duration Credit Fund PIMCO Low Duration ESG Fund PIMCO Low Duration Income Fund PIMCO Low Duration Opportunities Fund PIMCO Moderate Duration Fund PIMCO Mortgage-Backed Securities Fund PIMCO Mortgage Opportunities and Bond Fund PIMCO Municipal Bond Fund PIMCO National Intermediate Municipal Bond Fund PIMCO New York Municipal Bond Fund PIMCO Preferred and Capital Securities Fund PIMCO RAE Fundamental Advantage PLUS Fund PIMCO RAE PLUS EMG Fund PIMCO RAE PLUS Fund PIMCO RAE PLUS International Fund PIMCO RAE PLUS Small Fund PIMCO RAE Worldwide Long/Short PLUS Fund PIMCO Real Return Fund PIMCO RealEstateRealReturn Strategy Fund PIMCO Short Asset Investment Fund PIMCO Short Duration Municipal Income Fund PIMCO Short-Term Fund PIMCO StocksPLUS® Absolute Return Fund PIMCO StocksPLUS® Fund PIMCO StocksPLUS® International Fund (Unhedged) PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) PIMCO StocksPLUS® Long Duration Fund PIMCO StocksPLUS® Short Fund PIMCO StocksPLUS® Small Fund PIMCO Total Return Fund PIMCO Total Return Fund II PIMCO Total Return Fund IV PIMCO Total Return Fund V PIMCO Total Return ESG Fund PIMCO TRENDS Managed Futures Strategy Fund |
Name, Year of Birth and Position Held with Trust* |
Term of Office and Length of Time Served† |
Principal Occupation(s) During Past 5 Years |
Number of Funds in Fund Complex Overseen by Trustee |
Other Public Company and Investment Company Directorships Held by Trustee During the Past 5 Years |
Interested Trustees1 | ||||
Peter G. Strelow (1970) Chairman of the Board and Trustee |
05/2017 to present; Chairman of the Board 02/2019 to present |
Managing Director and Co-Chief Operating Officer, PIMCO. Senior Vice President of the Trust, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO- Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds. Formerly, Chief Administrative Officer, PIMCO. |
162 |
Chairman and Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT. |
Kimberley G. Stafford (1978) Trustee |
02/2021 to present |
Managing Director,
Global Head of
Product Strategy,
PIMCO; and Member
of Executive
Committee, PIMCO.
Formerly, Head of
Asia-Pacific, Global
Head of Consultant
Relations and Head of
US Institutional and
Alternatives Sales,
PIMCO. |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT. |
Independent Trustees | ||||
George E. Borst (1948) Trustee |
04/2015 to present |
Executive Advisor, McKinsey & Company (since 10/14); Formerly, Executive Advisor, Toyota Financial Services (10/13-2/14); and CEO, Toyota Financial Services (1/01-9/13). |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT; Director, MarineMax Inc. |
Name, Year of Birth and Position Held with Trust* |
Term of Office and Length of Time Served† |
Principal Occupation(s) During Past 5 Years |
Number of Funds in Fund Complex Overseen by Trustee |
Other Public Company and Investment Company Directorships Held by Trustee During the Past 5 Years |
Jennifer Holden Dunbar (1963) Trustee |
04/2015 to present |
Formerly, Managing
Director, Dunbar
Partners, LLC
(business consulting
and investments)
(05/05-05/21); and
Partner, Leonard
Green & Partners, L.P. |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT; Director, PS Business Parks; Director, Big 5 Sporting Goods Corporation. |
Kym M. Hubbard (1957) Trustee |
02/2017 to present |
Formerly, Global
Head of Investments,
Chief Investment
Officer and Treasurer,
Ernst & Young. |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. Director, State Auto Financial Corporation (2016-2022). |
Gary F. Kennedy (1955) Trustee |
04/2015 to present |
Formerly, Senior Vice
President, General
Counsel and Chief
Compliance Officer,
American Airlines and
AMR Corporation
(now American
Airlines Group)
(01/03-01/14). |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
Peter B. McCarthy (1950) Trustee |
04/2015 to present |
Formerly, Assistant
Secretary and Chief
Financial Officer,
United States
Department of
Treasury; Deputy
Managing Director,
Institute of
International Finance. |
162 |
Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
Ronald C. Parker (1951) Lead Independent Trustee |
07/2009 to present; Lead Independent Trustee 02/2017 to present |
Director of Roseburg Forest Products Company. Formerly, Chairman of the Board, The Ford Family Foundation; and President, Chief Executive Officer, Hampton Affiliates (forestry products). |
162 |
Lead Independent Trustee, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
Name, Year of Birth and Position Held with Trust* |
Term of Office and Length of Time Served |
Principal Occupation(s) During Past 5 Years† |
Joshua D. Ratner (1976)** President |
01/2024 to present |
Executive Vice President and Head of Americas Fund and Client Operations; Deputy General Counsel, PIMCO. President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Ryan G. Leshaw (1980)
Chief Legal Officer and
Secretary |
08/2021 to present |
Executive Vice President and Deputy General Counsel, PIMCO. Chief Legal Officer and Secretary, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. Chief Legal Officer, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. Formerly, Associate, Willkie Farr & Gallagher LLP. |
Keisha Audain-Pressley (1975)** Chief Compliance Officer |
01/2020 to present |
Executive Vice President and Deputy Chief Compliance Officer, PIMCO. Chief Compliance Officer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Peter G. Strelow (1970) Senior Vice President |
06/2019 to present |
Managing Director and Co-Chief Operating Officer, PIMCO. Senior Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds. Formerly, Chief Administrative Officer, PIMCO. |
Wu-Kwan Kit (1981) Assistant Secretary |
08/2017 to present |
Senior Vice President and Senior Counsel, PIMCO. Assistant Secretary, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. Vice President, Senior Counsel and Secretary, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. Formerly, Assistant General Counsel, VanEck Associates Corp. |
Douglas B. Burrill (1980)** Vice President |
08/2022 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Name, Year of Birth and Position Held with Trust* |
Term of Office and Length of Time Served |
Principal Occupation(s) During Past 5 Years† |
Carol K. Chan (1982) Vice President |
01/2024 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Alyssa M. Creighton (1974)
Vice President |
01/2024 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Jason R. Duran (1977) Vice President |
02/2023 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds. |
Kenneth W. Lee (1972) Vice President |
08/2022 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Greg J. Mason (1980)*** Vice President |
05/2023 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Colleen P. McLaughlin (1983)*** Vice President |
01/2024 to present |
Senior Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Shiv Narain (1981) Vice President |
01/2024 to present |
Executive Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Keith A. Werber (1973) Vice President |
05/2022 to present |
Executive Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Name, Year of Birth and Position Held with Trust* |
Term of Office and Length of Time Served |
Principal Occupation(s) During Past 5 Years† |
Paul T. Wildermuth (1979) Vice President |
01/2024 to present |
Vice President, PIMCO. Vice President, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Bijal Y. Parikh (1978) Treasurer |
01/2021 to present |
Executive Vice President, PIMCO. Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Brandon T. Evans (1982) Deputy Treasurer |
01/2024 to present |
Senior Vice President, PIMCO. Deputy Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Erik C. Brown (1967)*** Assistant Treasurer |
02/2001 to present |
Executive Vice President, PIMCO. Assistant Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds, PIMCO-Sponsored Closed-End Funds, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
Matthew L. Goodman (1977)** Assistant Treasurer |
01/2024 to present |
Vice President, PIMCO. Assistant Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Laine E. Pacetti (1989) Assistant Treasurer |
01/2024 to present |
Vice President, PIMCO. Assistant Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Jason R. Stern (1979)** Assistant Treasurer |
01/2024 to present |
Vice President, PIMCO. Assistant Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Chi H. Vu (1983) Assistant Treasurer |
01/2024 to present |
Vice President, PIMCO. Assistant Treasurer, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Managed Accounts Trust, PIMCO-Sponsored Interval Funds and PIMCO-Sponsored Closed-End Funds and PIMCO Flexible Real Estate Income Fund. |
Name of Trustee |
Name of Fund |
Dollar Range of Equity
Securities in the Funds |
Aggregate Dollar Range
of Equity Securities in All
Funds Overseen by Trustee
in Family of Investment
Companies |
Interested Trustees |
|
|
|
Kimberley G. Stafford |
PIMCO Short Asset
Investment Fund |
$1 - $10,000 |
Over $100,000 |
PIMCO Income Fund |
Over $100,000 |
| |
PIMCO TRENDS
Managed Futures Strategy
Fund |
$50,001 - $100,000 |
| |
|
PIMCO StocksPLUS®
Fund |
$10,001 - $50,000 |
|
Peter G. Strelow |
PIMCO All Asset All
Authority |
Over $100,000 |
Over $100,000 |
PIMCO Climate Bond
Fund |
$50,001 - $100,000 |
| |
PIMCO Income Fund |
Over $100,000 |
| |
PIMCO StocksPLUS®
Fund |
Over $100,000 |
| |
Independent Trustees |
|
|
|
George E. Borst |
PIMCO Income Fund |
Over $100,000 |
Over $100,000 |
PIMCO Investment Grade
Credit Bond Fund |
Over $100,000 |
| |
|
PIMCO StocksPLUS®
Fund |
$50,001 - $100,000 |
|
Name of Trustee |
Name of Fund |
Dollar Range of Equity
Securities in the Funds |
Aggregate Dollar Range
of Equity Securities in All
Funds Overseen by Trustee
in Family of Investment
Companies |
Jennifer Holden Dunbar |
PIMCO Income Fund |
Over $100,000 |
Over $100,000 |
PIMCO Total Return
Fund |
$50,001 - $100,000 |
| |
PIMCO All Asset Fund |
$10,001 - $50,000 |
| |
PIMCO Short-Term Fund |
$10,001 - $50,000 |
| |
PIMCO StocksPLUS®
Fund |
$50,001 - $100,000 |
| |
PIMCO Diversified
Income Fund |
$10,001 - $50,000 |
| |
PIMCO Real Return Fund |
$50,001 - $100,000 |
| |
PIMCO StocksPLUS®
Long Duration Fund |
$10,001 - $50,000 |
| |
PIMCO Dynamic Bond
Fund |
$1 - $10,000 |
| |
PIMCO Low Duration
Credit Fund |
$10,001 - $50,000 |
| |
PIMCO Credit
Opportunities Bond Fund |
$1 - $10,000 |
| |
PIMCO Short Asset
Investment Fund |
$10,001 - $50,000 |
| |
PIMCO Mortgage
Opportunities and Bond
Fund |
$1 - $10,000 |
| |
PIMCO TRENDS
Managed Futures Strategy
Fund |
$10,001 - $50,000 |
| |
PIMCO Government
Money Market Fund |
$1 - $10,000 |
| |
PIMCO Climate Bond
Fund |
$10,001 - $50,000 |
| |
Kym M. Hubbard |
PIMCO StocksPLUS®
Fund |
$10,001 - $50,000 |
Over $100,000 |
PIMCO Income Fund |
$1 - $10,000 |
| |
PIMCO Total Return
Fund |
$50,001 - $100,000 |
| |
Gary F. Kennedy |
PIMCO StocksPLUS®
Fund |
Over $100,000 |
Over $100,000 |
PIMCO Income Fund |
Over $100,000 |
| |
PIMCO Total Return
Fund |
Over $100,000 |
| |
PIMCO All Asset Fund |
Over $100,000 |
| |
Peter B. McCarthy |
PIMCO Government
Money Market Fund |
Over $100,000 |
Over $100,000 |
PIMCO Municipal Bond
Fund |
$10,001 - $50,000 |
| |
PIMCO Low Duration
Income Fund |
$50,001 - $100,000 |
| |
PIMCO Preferred and
Capital Securities Fund |
$10,001 - $50,000 |
|
Name of Trustee |
Name of Fund |
Dollar Range of Equity
Securities in the Funds |
Aggregate Dollar Range
of Equity Securities in All
Funds Overseen by Trustee
in Family of Investment
Companies |
Ronald C. Parker |
PIMCO Investment Grade
Credit Bond Fund |
Over $100,000 |
Over $100,000 |
PIMCO Income Fund |
Over $100,000 |
| |
PIMCO All Asset Fund |
Over $100,000 |
| |
|
PIMCO Government
Money Market Fund |
Over $100,000 |
|
Name of Independent Trustee |
Name
of Owners and Relationships to Trustee |
Company |
Title
of Class |
Value
of Securities |
Percent of Class |
George E. Borst |
None |
None |
None |
None |
None |
Jennifer Holden Dunbar |
None |
None |
None |
None |
None |
Kym M. Hubbard |
None |
None |
None |
None |
None |
Gary F. Kennedy |
None |
None |
None |
None |
None |
Peter B. McCarthy |
None |
None |
None |
None |
None |
Ronald C. Parker |
None |
None |
None |
None |
None |
Name and Position |
Aggregate
Compensation
from Trust1 |
Pension or Retirement
Benefits Accrued As
Part of Funds Expenses |
Total Compensation
from Trust and Fund
Complex Paid to Trustees |
George E. Borst, Trustee |
$256,995 |
N/A |
$428,250 |
Jennifer Holden Dunbar, Trustee |
$269,828.33 |
N/A |
$448,250 |
Kym M. Hubbard, Trustee |
$269,995 |
N/A |
$448,250 |
Gary F. Kennedy, Trustee |
$269,995 |
N/A |
$448,250 |
Peter B. McCarthy, Trustee |
$287,582.50 |
N/A |
$473,250 |
Ronald C. Parker, Trustee |
$282,582.50 |
N/A |
$468,250
|
Fund |
Model Portfolio(s) |
PIMCO RAE Fundamental Advantage PLUS Fund |
RAE US Large Model Portfolio |
PIMCO RAE PLUS EMG Fund |
RAE Emerging Markets Model Portfolio |
PIMCO RAE PLUS Fund |
RAE US Large Model Portfolio |
PIMCO RAE PLUS International Fund |
RAE International Large Model Portfolio |
PIMCO RAE PLUS Small Fund |
RAE US Small Model Portfolio |
PIMCO RAE Worldwide Long/Short PLUS Fund |
RAE Low Volatility US Model Portfolio RAE Low Volatility International Model Portfolio RAE Low Volatility Emerging Markets Model Portfolio |
Fund(†) |
Advisory Fee Rate |
PIMCO Government Money Market Fund |
0.12 % |
PIMCO All Asset Fund |
0.175 % |
PIMCO California Short Duration Municipal Income and PIMCO Short Duration Municipal Income Funds |
0.18 % |
PIMCO All Asset All Authority, PIMCO Municipal Bond and PIMCO Short Asset Investment Funds |
0.20 % |
PIMCO California Municipal Bond Fund |
0.21 % |
PIMCO National Intermediate Municipal Bond Fund |
0.22 % |
PIMCO California Intermediate Municipal Bond, PIMCO Long-Term U.S. Government and PIMCO
New York Municipal Bond Funds |
0.225 % |
PIMCO High Yield Municipal Bond, PIMCO High Yield Spectrum, PIMCO Long-Term Credit Bond,
PIMCO Low Duration Income, PIMCO California Municipal Intermediate Value and PIMCO National
Municipal Intermediate Value Funds |
0.30 % |
PIMCO StocksPLUS® Long Duration, PIMCO Mortgage Opportunities and Bond and PIMCO Global
Advantage® Strategy Bond(1) Funds |
0.35 % |
PIMCO California Municipal Opportunistic Value and PIMCO National Municipal Opportunistic Value
Funds(2) |
0.37 % |
PIMCO StocksPLUS® Absolute Return, PIMCO StocksPLUS® International (Unhedged) and PIMCO
StocksPLUS® Short Funds |
0.39 % |
PIMCO Low Duration Credit |
0.40 % |
Fund(†) |
Advisory Fee Rate |
PIMCO Preferred and Capital Securities, PIMCO Inflation Response Multi-Asset(3) and PIMCO
StocksPLUS® Small Funds |
0.44 % |
PIMCO Diversified Income, PIMCO Emerging Markets Local Currency and Bond, PIMCO Emerging
Markets Bond, PIMCO Emerging Markets Currency and Short-Term Investments and PIMCO
StocksPLUS® International (U.S. Dollar- Hedged) Funds
|
0.45 % |
PIMCO CommoditiesPLUS® Strategy, PIMCO CommodityRealReturn Strategy and PIMCO RealEstateRealReturn Strategy Funds |
0.49 % |
PIMCO Emerging Markets Corporate Bond Fund(4)(5)(12) |
0.45 % |
PIMCO RAE PLUS and PIMCO Emerging Markets Full Spectrum Bond(6) Funds |
0.54 % |
PIMCO Dynamic Bond Fund(7)
|
0.55 % |
PIMCO RAE PLUS International Fund |
0.57 % |
PIMCO RAE PLUS Small Fund |
0.59 % |
PIMCO Credit Opportunities Bond
Fund(8) |
0.30 % |
PIMCO RAE Fundamental Advantage PLUS Fund |
0.64 % |
PIMCO RAE PLUS EMG Fund(9)
|
0.80 % |
PIMCO Global Core Asset Allocation Fund |
0.90 % |
PIMCO RAE Worldwide Long/Short PLUS Fund |
0.94 % |
PIMCO TRENDS Managed Futures Strategy Fund |
1.15 % |
PIMCO Total Return Fund V |
0.25 % |
All other Funds(10)(11)
|
0.25 % |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$3,383,206 |
$5,086,708 |
$6,480,428 |
PIMCO All Asset Fund |
23,506,792 |
25,481,521 |
29,972,151 |
PIMCO California Intermediate Municipal Bond Fund |
381,778 |
307,900 |
584,092 |
PIMCO California Municipal Bond Fund |
291,727 |
236,735 |
256,964 |
PIMCO California Municipal Intermediate Value Fund |
78,494 |
119,051 |
209,405 |
PIMCO California Municipal Opportunistic Value Fund |
983,712 |
883,600 |
898,931 |
PIMCO California Short Duration Municipal Income Fund |
247,322 |
331,724 |
268,069 |
PIMCO Climate Bond Fund |
39,444 |
31,258 |
50,921 |
PIMCO CommoditiesPLUS® Strategy Fund |
24,172,441 |
25,535,758 |
18,971,913 |
PIMCO CommodityRealReturn Strategy Fund® |
29,614,818 |
44,308,124 |
38,830,353 |
PIMCO Credit Opportunities Bond Fund |
1,652,500 |
1,986,052 |
2,504,848 |
PIMCO Diversified Income Fund |
14,853,987 |
17,572,720 |
23,942,238 |
PIMCO Dynamic Bond Fund |
12,497,852 |
16,325,509 |
22,467,330 |
PIMCO Emerging Markets Bond Fund |
8,103,844 |
13,304,608 |
15,989,887 |
PIMCO Emerging Markets Corporate Bond Fund |
440,696 |
512,709 |
898,317 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
2,360,327 |
2,480,328 |
2,615,128 |
PIMCO Emerging Markets Full Spectrum Bond Fund |
1,367,957 |
1,433,082 |
1,917,905 |
PIMCO Emerging Markets Local Currency and Bond Fund |
6,906,846 |
8,849,467 |
8,279,049 |
PIMCO ESG Income Fund |
559,732 |
523,466 |
223,832 |
PIMCO Extended Duration Fund |
1,568,157 |
1,573,674 |
2,538,649 |
PIMCO Global Advantage® Strategy Bond Fund |
1,033,697 |
1,010,166 |
1,137,334 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
2,461,436 |
2,199,628 |
2,196,335 |
PIMCO Global Core Asset Allocation Fund |
2,224,693 |
2,594,598 |
3,309,530 |
PIMCO GNMA and Government Securities Fund |
3,244,736 |
2,572,597 |
4,107,155 |
PIMCO Government Money Market Fund |
2,508,778 |
1,700,463 |
1,581,207 |
PIMCO High Yield Fund |
20,080,701 |
20,856,637 |
26,972,112 |
PIMCO High Yield Municipal Bond Fund |
9,556,254 |
7,550,284 |
9,234,505 |
PIMCO High Yield Spectrum Fund |
892,712 |
859,338 |
1,512,669 |
PIMCO Income Fund |
323,721,752 |
297,729,272 |
353,834,922 |
PIMCO Inflation Response Multi-Asset Fund |
10,138,644 |
13,431,656 |
10,236,011 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
33,711,722 |
29,227,501 |
33,730,666 |
PIMCO International Bond Fund (Unhedged) |
2,196,230 |
2,610,040 |
3,664,531 |
PIMCO Investment Grade Credit Bond Fund |
30,187,352 |
34,354,627 |
45,826,641 |
PIMCO Long Duration Total Return Fund |
7,235,976 |
7,101,393 |
9,700,478 |
PIMCO Long-Term Credit Bond Fund |
9,061,575 |
9,928,332 |
11,335,936 |
PIMCO Long-Term Real Return Fund |
1,300,147 |
1,142,378 |
1,377,877 |
PIMCO Long-Term U.S. Government Fund |
2,404,511 |
1,572,824 |
1,693,179 |
PIMCO Low Duration Credit Fund |
565,797 |
1,173,956 |
1,451,569 |
PIMCO Low Duration ESG Fund |
875,430 |
1,054,805 |
1,122,845 |
PIMCO Low Duration Fund |
15,074,686 |
18,887,732 |
22,471,870 |
PIMCO Low Duration Fund II |
816,573 |
865,557 |
1,006,031 |
PIMCO Low Duration Income Fund |
26,630,468 |
30,192,391 |
29,420,893 |
PIMCO Low Duration Opportunities Fund |
209,619 |
314,115 |
391,816 |
PIMCO Moderate Duration Fund |
3,396,481 |
3,483,722 |
3,792,286 |
PIMCO Mortgage Opportunities and Bond Fund |
28,119,545 |
23,874,370 |
26,209,581 |
PIMCO Mortgage-Backed Securities Fund |
351,155 |
399,041 |
524,194 |
Fund |
2024 |
2023 |
2022 |
PIMCO Municipal Bond Fund |
4,437,870 |
3,688,139 |
4,504,337 |
PIMCO National Intermediate Municipal Bond Fund |
1,171,496 |
709,044 |
419,514 |
PIMCO National Municipal Intermediate Value Fund |
361,084 |
456,764 |
604,842 |
PIMCO National Municipal Opportunistic Value Fund |
1,203,636 |
1,157,741 |
911,666 |
PIMCO New York Municipal Bond Fund |
1,218,944 |
1,155,755 |
1,555,739 |
PIMCO Preferred and Capital Securities Fund |
5,006,193 |
7,990,103 |
11,736,562 |
PIMCO RAE Fundamental Advantage PLUS Fund |
3,825,081 |
4,008,388 |
5,036,842 |
PIMCO RAE PLUS EMG Fund |
1,700,401 |
1,576,018 |
4,006,624 |
PIMCO RAE PLUS Fund |
5,429,649 |
6,500,278 |
8,867,058 |
PIMCO RAE PLUS International Fund |
912,741 |
902,539 |
3,583,638 |
PIMCO RAE PLUS Small Fund |
827,784 |
1,095,247 |
2,511,553 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
5,815,068 |
5,968,752 |
9,303,488 |
PIMCO Real Return Fund |
21,840,457 |
26,655,750 |
30,266,708 |
PIMCO RealEstateRealReturn Strategy Fund |
2,770,647 |
4,766,056 |
6,222,645 |
PIMCO Short Asset Investment Fund |
5,561,466 |
6,665,400 |
8,312,491 |
PIMCO Short Duration Municipal Income Fund |
783,182 |
894,017 |
936,552 |
PIMCO Short-Term Fund |
27,015,615 |
33,525,136 |
41,600,312 |
PIMCO StocksPLUS® Absolute Return Fund |
7,018,753 |
8,100,688 |
9,559,514 |
PIMCO StocksPLUS® Fund |
5,580,216 |
4,834,660 |
5,821,213 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
9,878,803 |
8,642,750 |
9,289,868 |
PIMCO StocksPLUS® International Fund (Unhedged) |
748,101 |
872,738 |
1,501,586 |
PIMCO StocksPLUS® Long Duration Fund |
2,815,531 |
2,952,670 |
4,022,320 |
PIMCO StocksPLUS® Short Fund |
902,250 |
1,283,494 |
731,421 |
PIMCO StocksPLUS® Small Fund |
4,567,498 |
5,731,183 |
8,565,540 |
PIMCO Total Return ESG Fund |
4,863,389 |
5,562,304 |
5,928,967 |
PIMCO Total Return Fund |
134,220,601 |
146,734,610 |
174,381,853 |
PIMCO Total Return Fund II |
1,446,290 |
1,416,093 |
1,641,132 |
PIMCO Total Return Fund IV |
619,055 |
766,280 |
969,575 |
PIMCO Total Return Fund V* |
243,301 |
N/A |
N/A |
PIMCO TRENDS Managed Futures Strategy Fund |
43,861,863 |
53,434,718 |
22,004,526 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
— |
$908,633 |
$1,095,418 |
PIMCO All Asset Fund |
$10,777,183 |
16,317,730 |
18,094,745 |
PIMCO California Municipal Intermediate Value Fund |
28,781 |
43,652 |
76,782 |
PIMCO California Municipal Opportunistic Value Fund |
73,779 |
66,270 |
67,420 |
PIMCO CommoditiesPLUS® Strategy Fund |
4,672,648 |
5,138,540 |
4,371,192 |
PIMCO CommodityRealReturn Strategy Fund® |
2,701,710 |
3,690,155 |
5,813,281 |
PIMCO Credit Opportunities Bond Fund |
11,276 |
— |
— |
PIMCO Dynamic Bond Fund |
656,059 |
— |
— |
PIMCO Emerging Markets Full Spectrum Bond Fund |
1,367,957 |
1,433,082 |
1,917,905 |
PIMCO Global Core Asset Allocation Fund |
120,556 |
188,728 |
441,714 |
PIMCO Government Money Market Fund |
— |
— |
677,177 |
PIMCO High Yield Fund |
185,667 |
— |
— |
PIMCO Inflation Response Multi-Asset Fund |
3,099,643 |
3,098,618 |
2,647,993 |
PIMCO National Municipal Intermediate Value Fund |
132,398 |
167,480 |
221,775 |
PIMCO National Municipal Opportunistic Value Fund |
90,273 |
86,831 |
68,375 |
PIMCO Preferred and Capital Securities Fund |
643,414 |
1,023,326 |
1,469,250 |
PIMCO Total Return Fund |
42,934 |
— |
— |
PIMCO TRENDS Managed Futures Strategy Fund |
5,078,807 |
5,513,542 |
2,821,301 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$461,679 |
- |
- |
PIMCO Short Asset Investment Fund |
- |
$62,240 |
- |
PIMCO TRENDS Managed Futures Strategy Fund |
104,506 |
- |
- |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$2,537,404 |
$3,815,031 |
$4,860,321
|
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset Fund |
16,790,566 |
18,201,086 |
21,408,679 |
PIMCO RAE Fundamental Advantage PLUS Fund |
31,876 |
43,090 |
23,728 |
PIMCO RAE PLUS EMG Fund |
120,103 |
122,748 |
192,763 |
PIMCO RAE PLUS Fund |
804,393 |
902,504 |
1,063,909 |
PIMCO RAE PLUS International Fund |
36,717 |
37,386 |
168,813 |
PIMCO RAE PLUS Small Fund |
140,302 |
157,635 |
210,069 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
58,214 |
67,876 |
78,041 |
Fund |
Institutional
and
Administrative
Classes |
I-2 |
I-3 |
Classes
A, C and C-2 |
Class M |
Class R |
PIMCO All Asset Fund |
0.05 % |
0.15 % |
0.25 % |
0.25
%(1)
|
N/A |
0.25
%(1)
|
PIMCO All Asset All Authority Fund |
0.05 % |
0.15 % |
0.25 % |
0.25
%(2)
|
N/A |
N/A |
PIMCO California Intermediate Municipal Bond Fund |
0.22 % |
0.32 % |
N/A |
0.30 % |
N/A |
N/A |
PIMCO California Municipal Bond Fund |
0.23 % |
0.33 % |
N/A |
0.33 % |
N/A |
N/A |
PIMCO California Municipal Intermediate Value Fund |
0.20 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO California Municipal Opportunistic Value Fund |
0.23 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO California Short Duration Municipal Income Fund |
0.15 % |
0.25 % |
N/A |
0.30 % |
N/A |
N/A |
PIMCO Climate Bond Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO CommoditiesPLUS® Strategy Fund |
0.25 % |
0.35 % |
0.45 % |
0.45
%(2)
|
N/A |
N/A |
PIMCO CommodityRealReturn Strategy Fund® |
0.25 % |
0.35 % |
0.45 % |
0.45 % |
N/A |
0.45 % |
PIMCO Credit Opportunities Bond Fund |
0.30 % |
0.40 % |
0.50 % |
0.45 % |
N/A |
N/A |
PIMCO Diversified Income Fund |
0.30 % |
0.40 % |
0.50 % |
0.45 % |
N/A |
N/A |
PIMCO Dynamic Bond Fund(7)
|
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
0.40 % |
PIMCO Emerging Markets Local Currency and Bond Fund |
0.45 % |
0.55 % |
0.65 % |
0.60
%(4)
|
N/A |
N/A |
PIMCO Emerging Markets Bond Fund |
0.38 % |
0.48 % |
0.58 % |
0.50
%(3)
|
N/A |
N/A |
PIMCO Emerging Markets Corporate Bond Fund |
0.40 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
0.40 % |
0.50 % |
N/A |
0.55 % |
N/A |
N/A |
PIMCO Emerging Markets Full Spectrum Bond Fund |
0.40 % |
N/A |
N/A |
N/A |
N/A |
N/A |
Fund |
Institutional
and
Administrative
Classes |
I-2 |
I-3 |
Classes
A, C and C-2 |
Class M |
Class R |
PIMCO ESG Income Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Extended Duration Fund |
0.25 % |
0.35 % |
N/A |
0.40 % |
N/A |
N/A |
PIMCO Global Advantage® Strategy Bond Fund |
0.30 % |
N/A |
N/A |
0.45 % |
N/A |
N/A |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
0.30 % |
0.40 % |
N/A |
0.40 % |
N/A |
N/A |
PIMCO Global Core Asset Allocation Fund |
0.05 % |
0.15 % |
N/A |
0.25
%(5)
|
N/A |
N/A |
PIMCO GNMA and Government Securities Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Government Money Market Fund |
0.06 % |
0.16 % |
N/A |
0.21 % |
0.06 % |
N/A |
PIMCO High Yield Fund |
0.30 % |
0.40 % |
0.50 % |
0.40 % |
N/A |
0.40 % |
PIMCO High Yield Municipal Bond Fund |
0.25 % |
0.35 % |
0.45 % |
0.30 % |
N/A |
N/A |
PIMCO High Yield Spectrum Fund |
0.30 % |
0.40 % |
0.50 % |
0.40 % |
N/A |
N/A |
PIMCO Income Fund |
0.25
%(9)
|
0.35
%(9)
|
0.45 % |
0.40
%(9)
|
N/A |
0.40
%(9)
|
PIMCO Inflation Response Multi-Asset Fund |
0.25 % |
0.35 % |
0.45 % |
0.45 % |
N/A |
N/A |
PIMCO International Bond Fund (Unhedged) |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
0.40 % |
PIMCO Investment Grade Credit Bond Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Long Duration Total Return Fund |
0.25 % |
0.35 % |
N/A |
0.40 % |
N/A |
N/A |
PIMCO Long-Term Credit Bond Fund |
0.25 % |
0.35 % |
N/A |
0.40 % |
N/A |
N/A |
PIMCO Long-Term Real Return Fund |
0.25 % |
0.35 % |
N/A |
N/A |
N/A |
N/A |
PIMCO Long-Term U.S. Government Fund |
0.25 % |
0.35 % |
0.45 % |
0.35 % |
N/A |
N/A |
PIMCO Low Duration Fund |
0.21 % |
0.31 % |
0.41 % |
0.25
%(10)(Class A) |
N/A |
0.30 % |
|
|
|
0.30
%(Class C
and Class
C-2) |
|
| |
PIMCO Low Duration Fund II |
0.25 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO Low Duration ESG Fund |
0.25 % |
0.35 % |
0.45 % |
N/A |
N/A |
N/A |
Fund |
Institutional
and
Administrative
Classes |
I-2 |
I-3 |
Classes
A, C and C-2 |
Class M |
Class R |
PIMCO Low Duration Income Fund(6)
|
0.20 % |
0.30 % |
0.40 % |
0.35 % |
N/A |
N/A |
PIMCO Low Duration Opportunities Fund |
0.30 % |
0.40 % |
N/A |
0.45 % |
N/A |
N/A |
PIMCO Moderate Duration Fund |
0.21 % |
0.31 % |
N/A |
N/A |
N/A |
N/A |
PIMCO Mortgage-Backed Securities Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Mortgage Opportunities and Bond Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Moderate Duration Fund |
0.21 % |
0.31 % |
N/A |
N/A |
N/A |
N/A |
PIMCO Municipal Bond Fund |
0.24 % |
0.34 % |
0.44 % |
0.30 % |
N/A |
N/A |
PIMCO National Municipal Intermediate Value Fund |
0.20 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO National Municipal Opportunistic Value Fund |
0.23 % |
N/A |
N/A |
N/A |
N/A |
N/A |
PIMCO Preferred and Capital Securities Fund |
0.35 % |
0.45 % |
0.55 % |
0.45 % |
N/A |
N/A |
PIMCO RAE Fundamental Advantage PLUS Fund |
0.25 % |
N/A |
N/A |
0.40 % |
N/A |
N/A |
PIMCO RAE PLUS EMG Fund(5)
|
0.30 % |
0.40 % |
N/A |
0.45 % |
N/A |
N/A |
PIMCO RAE PLUS Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO RAE PLUS International Fund |
0.25 % |
0.35 % |
N/A |
0.35 % |
N/A |
0.35 % |
PIMCO RAE PLUS Small Fund |
0.25 % |
0.35 % |
N/A |
0.35 % |
N/A |
0.35 % |
PIMCO RAE Worldwide Long/Short PLUS Fund |
0.25 % |
0.35 % |
N/A |
0.40 % |
N/A |
N/A |
PIMCO Real Return Fund |
0.20 % |
0.30 % |
0.40 % |
0.35 % |
N/A |
0.35 % |
PIMCO RealEstateRealReturn Strategy Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Short Asset Investment Fund |
0.14 % |
0.24 % |
0.34 % |
0.24 % |
0.14 % |
N/A |
Fund |
Institutional
and
Administrative
Classes |
I-2 |
I-3 |
Classes
A, C and C-2 |
Class M |
Class R |
PIMCO Short Duration Municipal Income Fund |
0.15 % |
0.25 % |
0.35 % |
0.30 % |
N/A |
N/A |
PIMCO Short-Term Fund |
0.20 % |
0.30 % |
0.40 % |
0.20 % |
N/A |
0.20 % |
PIMCO StocksPLUS® Absolute Return Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO StocksPLUS® Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
0.40 % |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
0.30 % |
0.40 % |
0.50 % |
0.45 % |
N/A |
N/A |
PIMCO StocksPLUS® International Fund (Unhedged) |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO StocksPLUS® Long Duration Fund |
0.24 % |
0.34 % |
N/A |
0.39 % |
N/A |
N/A |
PIMCO StocksPLUS® Short Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO StocksPLUS® Small Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Total Return Fund |
0.21 % |
0.31 % |
0.41 % |
0.30
%(8)(11)
|
N/A |
0.30
%(11)
|
PIMCO Total Return Fund II |
0.25 % |
0.35 % |
N/A |
N/A |
N/A |
N/A |
PIMCO Total Return Fund IV |
0.25 % |
N/A |
N/A |
0.35 % |
N/A |
N/A |
PIMCO Total Return Fund V |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO Total Return ESG Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
PIMCO TRENDS Managed Futures Strategy Fund |
0.25 % |
0.35 % |
0.45 % |
0.40 % |
N/A |
N/A |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$1,575,696 |
$2,255,834 |
$2,982,137 |
PIMCO All Asset Fund |
8,687,535 |
9,613,277 |
11,294,895 |
PIMCO California Intermediate Municipal Bond Fund |
424,236 |
356,878 |
655,504 |
PIMCO California Municipal Bond Fund |
409,567 |
325,006 |
357,775 |
Fund |
2024 |
2023 |
2022 |
PIMCO California Municipal Intermediate Value Fund |
52,329 |
79,368 |
139,603 |
PIMCO California Municipal Opportunistic Value Fund |
565,634 |
508,070 |
516,885 |
PIMCO California Short Duration Municipal Income Fund |
260,365 |
339,341 |
286,297 |
PIMCO Climate Bond Fund |
41,925 |
33,124 |
53,687 |
PIMCO CommoditiesPLUS® Strategy Fund |
13,913,546 |
14,807,903 |
10,973,174 |
PIMCO CommodityRealReturn Strategy Fund® |
16,775,904 |
25,411,212 |
21,945,413 |
PIMCO Credit Opportunities Bond Fund |
1,097,215 |
1,136,143 |
1,419,815 |
PIMCO Diversified Income Fund |
10,396,928 |
12,368,503 |
17,134,047 |
PIMCO Dynamic Bond Fund |
6,160,011 |
8,043,823 |
11,011,680 |
PIMCO Emerging Markets Bond Fund |
7,469,530 |
12,042,995 |
14,498,309 |
PIMCO Emerging Markets Corporate Bond Fund |
352,556 |
410,167 |
718,654 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
2,118,357 |
2,223,060 |
2,342,636 |
PIMCO Emerging Markets Full Spectrum Bond Fund |
1,013,302 |
1,061,542 |
1,420,670 |
PIMCO Emerging Markets Local Currency and Bond Fund |
7,082,465 |
8,999,731 |
8,471,394 |
PIMCO ESG Income Fund |
588,908 |
579,894 |
236,406 |
PIMCO Extended Duration Fund |
1,603,783 |
1,604,866 |
2,561,516 |
PIMCO Global Advantage® Strategy Bond Fund |
915,806 |
891,289 |
990,720 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
3,080,317 |
2,759,071 |
2,742,949 |
PIMCO Global Core Asset Allocation Fund |
384,079 |
436,099 |
547,028 |
PIMCO GNMA and Government Securities Fund |
4,190,951 |
3,299,514 |
5,181,647 |
PIMCO Government Money Market Fund |
2,980,693 |
1,717,283 |
1,603,607 |
PIMCO High Yield Fund |
25,001,194 |
26,082,733 |
33,713,512 |
PIMCO High Yield Municipal Bond Fund |
9,263,797 |
7,240,101 |
8,859,340 |
PIMCO High Yield Spectrum Fund |
1,076,130 |
1,036,257 |
1,821,549 |
PIMCO Income Fund |
386,161,494 |
358,047,921 |
428,039,969 |
PIMCO Inflation Response Multi-Asset Fund |
5,629,626 |
7,806,495 |
5,730,601 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
38,631,243 |
33,723,522 |
39,068,381 |
PIMCO International Bond Fund (Unhedged) |
2,746,138 |
3,225,320 |
4,357,453 |
PIMCO Investment Grade Credit Bond Fund |
37,493,477 |
41,907,542 |
55,303,695 |
PIMCO Long Duration Total Return Fund |
7,460,397 |
7,234,404 |
9,863,073 |
PIMCO Long-Term Credit Bond Fund |
7,711,598 |
8,375,370 |
9,568,124 |
PIMCO Long-Term Real Return Fund |
1,310,460 |
1,156,658 |
1,403,377 |
PIMCO Long-Term U.S. Government Fund |
2,868,044 |
1,898,962 |
2,050,524 |
PIMCO Low Duration Credit Fund |
455,196 |
923,035 |
1,140,843 |
PIMCO Low Duration ESG Fund |
961,508 |
1,165,860 |
1,239,279 |
PIMCO Low Duration Fund |
13,678,116 |
17,500,623 |
21,703,536 |
PIMCO Low Duration Fund II |
816,573 |
865,557 |
1,006,031 |
PIMCO Low Duration Income Fund |
24,792,511 |
28,166,253 |
27,654,667 |
PIMCO Low Duration Opportunities Fund |
303,384 |
441,867 |
560,462 |
PIMCO Moderate Duration Fund |
2,860,078 |
2,931,425 |
3,189,341 |
PIMCO Mortgage Opportunities and Bond Fund |
22,604,074 |
19,051,619 |
20,553,878 |
PIMCO Mortgage-Backed Securities Fund |
408,289 |
457,377 |
610,865 |
PIMCO Municipal Bond Fund |
6,472,344 |
5,394,293 |
6,521,841 |
PIMCO National Intermediate Municipal Bond Fund |
1,374,916 |
845,877 |
536,249 |
PIMCO National Municipal Intermediate Value Fund |
240,723 |
304,510 |
403,228 |
PIMCO National Municipal Opportunistic Value Fund |
692,090 |
665,701 |
524,208 |
PIMCO New York Municipal Bond Fund |
1,499,347 |
1,429,069 |
1,934,160 |
PIMCO Preferred and Capital Securities Fund |
4,091,221 |
6,544,654 |
9,609,614 |
PIMCO RAE Fundamental Advantage PLUS Fund |
1,510,525 |
1,586,224 |
1,983,783 |
PIMCO RAE PLUS EMG Fund |
657,949 |
614,610 |
1,545,044 |
PIMCO RAE PLUS Fund |
3,427,456 |
4,058,041 |
5,380,400 |
Fund |
2024 |
2023 |
2022 |
PIMCO RAE PLUS International Fund |
404,930 |
400,719 |
1,577,520 |
PIMCO RAE PLUS Small Fund |
390,767 |
514,248 |
1,120,698 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
1,588,435 |
1,636,738 |
2,530,524 |
PIMCO Real Return Fund |
20,643,864 |
25,613,721 |
29,076,548 |
PIMCO RealEstateRealReturn Strategy Fund |
1,623,619 |
2,741,790 |
3,556,633 |
PIMCO Short Asset Investment Fund |
4,224,822 |
5,120,074 |
6,427,282 |
PIMCO Short Duration Municipal Income Fund |
943,924 |
1,125,210 |
1,210,917 |
PIMCO Short-Term Fund |
23,970,146 |
29,596,431 |
36,442,949 |
PIMCO StocksPLUS® Absolute Return Fund |
5,709,081 |
6,486,050 |
7,812,905 |
PIMCO StocksPLUS® Fund |
6,385,309 |
5,635,291 |
6,791,570 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
7,930,942 |
6,968,781 |
7,506,803 |
PIMCO StocksPLUS® International Fund (Unhedged) |
574,566 |
641,274 |
1,073,995 |
PIMCO StocksPLUS® Long Duration Fund |
1,930,650 |
2,024,688 |
2,758,162 |
PIMCO StocksPLUS® Short Fund |
787,201 |
1,094,187 |
577,436 |
PIMCO StocksPLUS® Small Fund |
3,125,617 |
4,016,779 |
6,027,680 |
PIMCO Total Return ESG Fund |
5,136,125 |
5,919,294 |
6,349,906 |
PIMCO Total Return Fund |
122,311,744 |
133,399,780 |
159,050,725 |
PIMCO Total Return Fund II |
1,464,555 |
1,421,540 |
1,650,762 |
PIMCO Total Return Fund IV |
629,742 |
778,773 |
986,353 |
PIMCO Total Return Fund V* |
243,301 |
N/A |
N/A |
PIMCO TRENDS Managed Futures Strategy Fund |
11,279,420 |
13,871,553 |
5,620,853 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$907 |
$2,477 |
$226,986 |
PIMCO All Asset Fund |
8,639 |
4,715 |
601,532 |
PIMCO Climate Bond Fund |
163 |
204 |
181 |
PIMCO CommoditiesPLUS® Strategy Fund |
1,914,113 |
2,108,776 |
1,797,291 |
PIMCO CommodityRealReturn Strategy Fund® |
1,126,662 |
1,543,365 |
2,394,528 |
PIMCO Diversified Income Fund |
11,226 |
15,433 |
15,413 |
PIMCO Dynamic Bond Fund |
3,975 |
3,823 |
19,331 |
PIMCO Emerging Markets Bond Fund |
6,711 |
5,342 |
5,178 |
PIMCO Emerging Markets Full Spectrum Bond Fund |
642,646 |
647,446 |
935,063 |
PIMCO Emerging Markets Local Currency and Bond Fund |
4,025 |
2,398 |
6,716 |
Fund |
2024 |
2023 |
2022 |
PIMCO ESG Income Fund |
3,571 |
9,088 |
1,880 |
PIMCO Global Core Asset Allocation Fund |
41,698 |
41,030 |
40,993 |
PIMCO GNMA and Government Securities Fund |
37,423 |
11,266 |
1,445 |
PIMCO Government Money Market Fund |
9,976 |
11,486 |
1,551,700 |
PIMCO High Yield Fund |
5,917 |
14,514 |
21,936 |
PIMCO High Yield Municipal Bond Fund |
16,180 |
4,933 |
105 |
PIMCO High Yield Spectrum Fund |
2,615 |
856 |
2,065 |
PIMCO Income Fund |
733,770 |
730,096 |
528,101 |
PIMCO Inflation Response Multi-Asset Fund |
903,630 |
919,094 |
726,236 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
66,265 |
62,279 |
86,793 |
PIMCO International Bond Fund (Unhedged) |
40,317 |
58,426 |
55,953 |
PIMCO Investment Grade Credit Bond Fund |
57,283 |
42,995 |
47,594 |
PIMCO Low Duration Fund |
14,863 |
22,535 |
29,127 |
PIMCO Low Duration Income Fund |
44,348 |
56,467 |
81,982 |
PIMCO Low Duration Opportunities Fund |
14,787 |
63,714 |
79,258 |
PIMCO Mortgage Opportunities and Bond Fund |
39,199 |
31,950 |
28,243 |
PIMCO Mortgage-Backed Securities Fund |
170 |
740 |
2,195 |
PIMCO Municipal Bond Fund |
3,154 |
541 |
40 |
PIMCO New York Municipal Bond Fund |
421 |
167 |
8 |
PIMCO Preferred and Capital Securities Fund |
274,966 |
434,460 |
622,343 |
PIMCO RAE PLUS Fund |
2,691 |
4,443 |
3,827 |
PIMCO Real Return Fund |
14,829 |
21,177 |
20,728 |
PIMCO RealEstateRealReturn Strategy Fund |
950 |
2,717 |
2,271 |
PIMCO Short Asset Investment Fund |
37,554 |
79,851 |
27,811 |
PIMCO Short Duration Municipal Income Fund |
1,709 |
9 |
2 |
PIMCO Short-Term Fund |
35,274 |
31,968 |
25,929 |
PIMCO StocksPLUS® Absolute Return Fund |
3,790 |
2,160 |
3,911 |
PIMCO StocksPLUS® Fund |
13,037 |
8,839 |
7,275 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
14,013 |
8,156 |
7,551 |
PIMCO StocksPLUS® International Fund (Unhedged) |
4,225 |
1,854 |
2,486 |
PIMCO StocksPLUS® Short Fund |
8,301 |
8,954 |
1,566 |
PIMCO StocksPLUS® Small Fund |
1,720 |
4,255 |
7,958 |
PIMCO Total Return ESG Fund |
2,675 |
427 |
— |
PIMCO Total Return Fund |
72,126 |
52,396 |
53,249 |
PIMCO Total Return Fund V* |
137,877 |
N/A |
N/A |
PIMCO TRENDS Managed Futures Strategy Fund |
2,104,944 |
2,323,446 |
1,168,721 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$- |
$- |
$11,744 |
PIMCO Climate Bond Fund |
388 |
612 |
998 |
PIMCO Dynamic Bond Fund |
- |
- |
163,914 |
PIMCO ESG Income Fund |
10,971 |
5,858 |
4,387 |
PIMCO Government Money Market Fund |
102,562 |
65,189 |
- |
PIMCO Low Duration Income Fund |
- |
- |
229,599 |
PIMCO Low Duration Opportunities Fund |
4,109 |
6,156 |
7,680 |
PIMCO Short Asset Investment Fund |
3,873 |
90,404 |
203,656 |
PIMCO Total Return Fund V* |
82 |
N/A |
N/A |
PIMCO TRENDS Managed Futures Strategy Fund |
11,124 |
204,185 |
81,737 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Anderson1
|
|
|
|
|
Registered Investment Companies |
5 |
$9,492.79 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
16 |
$17,885.31 |
10 |
$12,152.26 |
Other Accounts |
1 |
$0.11 |
0 |
$0.00 |
Arnopolin2
|
|
|
|
|
Registered Investment Companies |
2 |
$1,193.58 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
18 |
$11,513.93 |
1 |
$1,018.22 |
Other Accounts |
13 |
$5,265.47 |
1 |
$97.23 |
Arnott3
|
|
|
|
|
Registered Investment Companies |
10 |
$11,099.73 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
10 |
$2,051.88 |
2 |
$377.82 |
Other Accounts |
7 |
$5,613.29 |
1 |
$253.22 |
Arora4
|
|
|
|
|
Registered Investment Companies |
7 |
$5,489.14 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
17 |
$10,673.93 |
0 |
$0.00 |
Other Accounts |
180 |
$29,790.46 |
1 |
$232.78 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Balls5
|
|
|
|
|
Registered Investment Companies |
5 |
$1,510.09 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
13 |
$23,569.05 |
0 |
$0.00 |
Other Accounts |
22 |
$25,288.33 |
5 |
$2,722.96 |
Bar6
|
|
|
|
|
Registered Investment Companies |
1 |
$29.67 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$2,354.60 |
0 |
$0.00 |
Other Accounts |
8 |
$1,464.97 |
0 |
$0.00 |
Bentsi7
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Bodereau8
|
|
|
|
|
Registered Investment Companies |
1 |
$90.28 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
6 |
$5,989.07 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Borromeo9
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
7 |
$1,621.06 |
0 |
$0.00 |
Other Accounts |
4 |
$1,162.97 |
0 |
$0.00 |
Brightman10
|
|
|
|
|
Registered Investment Companies |
10 |
$11,099.73 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
10 |
$2,051.88 |
2 |
$377.82 |
Other Accounts |
7 |
$5,613.29 |
1 |
$253.22 |
Brons11
|
|
|
|
|
Registered Investment Companies |
1 |
$258.29 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
36 |
$40,772.38 |
3 |
$1,127.36 |
Other Accounts |
61 |
$97,232.86 |
10 |
$1,347.03 |
Browne12
|
|
|
|
|
Registered Investment Companies |
13 |
$4,953.20 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
23 |
$9,452.94 |
0 |
$0.00 |
Other Accounts |
14 |
$1,471.43 |
0 |
$0.00 |
Burthey13
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Chiaverini14
|
|
|
|
|
Registered Investment Companies |
2 |
$11,206.49 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
13 |
$3,131.06 |
0 |
$0.00 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Christine15
|
|
|
|
|
Registered Investment Companies |
15 |
$5,529.20 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
5 |
$57,821.37 |
0 |
$0.00 |
Cudzil16
|
|
|
|
|
Registered Investment Companies |
13 |
$16,114.48 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
11 |
$9,614.78 |
2 |
$7,803.30 |
Other Accounts |
60 |
$29,285.25 |
7 |
$1,231.43 |
Davidson17
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
14 |
$9,926.28 |
1 |
$69.88 |
Other Accounts |
8 |
$2,752.37 |
0 |
$0.00 |
DeWitt18
|
|
|
|
|
Registered Investment Companies |
3 |
$3,527.75 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
5 |
$3,749.01 |
2 |
$3,433.65 |
Other Accounts |
16 |
$3,913.44 |
2 |
$371.58 |
Dhawan19
|
|
|
|
|
Registered Investment Companies |
2 |
$494.41 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
14 |
$16,010.13 |
4 |
$11,734.67 |
Other Accounts |
8 |
$5,801.80 |
0 |
$0.00 |
Dorsten20
|
|
|
|
|
Registered Investment Companies |
1 |
$136.80 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
14 |
$12,953.63 |
6 |
$7,573.45 |
Other Accounts |
2 |
$3,675.76 |
1 |
$2,160.97 |
Duko21
|
|
|
|
|
Registered Investment Companies |
4 |
$1,515.03 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
9 |
$1,381.95 |
0 |
$0.00 |
Other Accounts |
2 |
$920.35 |
0 |
$0.00 |
Forgash22
|
|
|
|
|
Registered Investment Companies |
5 |
$2,364.21 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
26 |
$17,226.57 |
2 |
$7,466.50 |
Other Accounts |
13 |
$6,987.98 |
1 |
$187.33 |
Gunther23
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Munish Gupta24
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
1 |
$0.02 |
1 |
$0.02 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Sachin Gupta25
|
|
|
|
|
Registered Investment Companies |
6 |
$2,525.06 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
28 |
$15,492.98 |
3 |
$725.28 |
Other Accounts |
41 |
$21,340.60 |
5 |
$2,513.30 |
Hagedorn26
|
|
|
|
|
Registered Investment Companies |
1 |
$268.37 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
2 |
$3,433.65 |
2 |
$3,433.65 |
Other Accounts |
2 |
$198.88 |
0 |
$0.00 |
Hammer27
|
|
|
|
|
Registered Investment Companies |
17 |
$6,363.23 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
11 |
$30,881.75 |
1 |
$193.28 |
Other Accounts |
178 |
$15,679.87 |
0 |
$0.00 |
Hannibal28
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
257 |
$23,227.94 |
0 |
$0.00 |
He29
|
|
|
|
|
Registered Investment Companies |
11 |
$8,567.20 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
3 |
$738.33 |
1 |
$533.39 |
Other Accounts |
6 |
$2,438.78 |
0 |
$0.00 |
Huang30
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
1 |
$200.71 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Hyman31
|
|
|
|
|
Registered Investment Companies |
5 |
$6,760.35 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$2,919.12 |
2 |
$0.48 |
Other Accounts |
29 |
$81,556.36 |
3 |
$6,026.59 |
Ivascyn32
|
|
|
|
|
Registered Investment Companies |
17 |
$31,921.90 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
24 |
$107,407.84 |
10 |
$19,264.99 |
Other Accounts |
27 |
$39,574.21 |
1 |
$317.47 |
Kiesel33
|
|
|
|
|
Registered Investment Companies |
11 |
$41,152.62 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
42 |
$29,815.37 |
2 |
$319.16 |
Other Accounts |
80 |
$57,098.18 |
2 |
$1,533.84 |
Martinez34
|
|
|
|
|
Registered Investment Companies |
1 |
$249.77 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Mary35
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Masturzo36
|
|
|
|
|
Registered Investment Companies |
4 |
$5,866.88 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Mittal37
|
|
|
|
|
Registered Investment Companies |
20 |
$19,570.48 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
25 |
$35,701.52 |
4 |
$5,116.76 |
Other Accounts |
152 |
$88,430.89 |
10 |
$3,036.25 |
Murata38
|
|
|
|
|
Registered Investment Companies |
17 |
$29,752.32 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
22 |
$48,470.45 |
5 |
$9,037.29 |
Other Accounts |
5 |
$2,176.64 |
0 |
$0.00 |
Neogy39
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
5 |
$4,718.66 |
0 |
$0.00 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Pagani40
|
|
|
|
|
Registered Investment Companies |
5 |
$1,041.32 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
45 |
$25,201.85 |
9 |
$3,361.66 |
Other Accounts |
35 |
$20,142.68 |
6 |
$4,089.94 |
Pier41
|
|
|
|
|
Registered Investment Companies |
7 |
$4,950.31 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
29 |
$18,645.46 |
2 |
$4,264.18 |
Other Accounts |
32 |
$68,103.75 |
1 |
$298.39 |
Rennison42
|
|
|
|
|
Registered Investment Companies |
15 |
$8,170.44 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$1,758.12 |
3 |
$762.02 |
Other Accounts |
1 |
$361.47 |
0 |
$0.00 |
Rodosky43
|
|
|
|
|
Registered Investment Companies |
12 |
$9,659.38 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
7 |
$4,766.77 |
2 |
$3,759.36 |
Other Accounts |
18 |
$9,897.50 |
4 |
$1,389.18 |
Romo44
|
|
|
|
|
Registered Investment Companies |
2 |
$664.12 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
21 |
$5,436.28 |
1 |
$1,018.22 |
Other Accounts |
15 |
$9,438.52 |
0 |
$0.00 |
|
Total
Number of Accounts |
Total Assets of All Accounts
(in $millions) |
Number of Accounts Paying
a Performance Fee |
Total
Assets of Accounts Paying a
Performance Fee (in
$millions) |
Schneider45
|
|
|
|
|
Registered Investment Companies |
15 |
$32,702.44 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
11 |
$31,653.79 |
0 |
$0.00 |
Other Accounts |
30 |
$23,348.01 |
1 |
$548.23 |
Seidner46
|
|
|
|
|
Registered Investment Companies |
8 |
$9,477.07 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
28 |
$14,420.79 |
5 |
$2,718.88 |
Other Accounts |
38 |
$18,672.80 |
12 |
$8,484.43 |
Sharef47
|
|
|
|
|
Registered Investment Companies |
4 |
$3,470.19 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
10 |
$2,786.18 |
0 |
$0.00 |
Other Accounts |
1 |
$221.47 |
0 |
$0.00 |
Sharenow48
|
|
|
|
|
Registered Investment Companies |
3 |
$4,129.68 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
17 |
$20,734.68 |
2 |
$3,433.65 |
Other Accounts |
3 |
$625.67 |
1 |
$51.38 |
Tsu49
|
|
|
|
|
Registered Investment Companies |
5 |
$2,903.13 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$9,577.77 |
3 |
$3,288.22 |
Other Accounts |
31 |
$64,562.82 |
4 |
$575.84 |
Wang50
|
|
|
|
|
Registered Investment Companies |
1 |
$258.29 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$2,892.59 |
6 |
$2,892.55 |
Other Accounts |
0 |
$0.00 |
0 |
$0.00 |
Watford51
|
|
|
|
|
Registered Investment Companies |
0 |
$0.00 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
8 |
$1,558.61 |
0 |
$0.00 |
Other Accounts |
4 |
$1,330.44 |
0 |
$0.00 |
Wittkop521
|
|
|
|
|
Registered Investment Companies |
5 |
$16,927.96 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
0 |
$0.00 |
0 |
$0.00 |
Other Accounts |
11 |
$3,939.52 |
0 |
$0.00 |
Yang53
|
|
|
|
|
Registered Investment Companies |
3 |
$2,824.75 |
0 |
$0.00 |
Other Pooled Investment Vehicles |
6 |
$3,728.52 |
4 |
$3,297.34 |
Other Accounts |
8 |
$58,481.42 |
2 |
$215.16 |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Anderson |
PIMCO ESG Income |
$100,001 - $500,000 |
PIMCO Income |
$100,001 - $500,000 | |
PIMCO Low Duration Income |
None | |
PIMCO Mortgage Opportunities and Bond |
$10,001 - $50,000 | |
Arnopolin |
PIMCO Emerging Markets Bond |
None |
PIMCO Emerging Markets Corporate Bond |
None | |
PIMCO Emerging Markets Full Spectrum |
None | |
Arnott |
PIMCO All Asset |
Over $1,000,000 |
PIMCO All Asset All Authority |
Over $1,000,000 | |
PIMCO RAE PLUS EMG |
Over $1,000,000 | |
PIMCO RAE Fundamental Advantage PLUS |
None | |
PIMCO RAE PLUS |
None | |
PIMCO RAE PLUS International |
None | |
PIMCO RAE PLUS Small |
None | |
PIMCO RAE Worldwide Long/Short PLUS |
$500,001 - $1,000,000 | |
Arora |
PIMCO Investment Grade Credit Bond |
None |
Balls |
PIMCO International Bond (Unhedged) |
None |
PIMCO International Bond (U.S. Dollar-Hedged) |
Over $1,000,000 | |
PIMCO Global Advantage® Strategy Bond |
Over $1,000,000 | |
PIMCO Global Bond Opportunities (U.S. Dollar-Hedged) |
None | |
Bar |
PIMCO Emerging Markets Corporate Bond |
None |
Bentsi |
PIMCO Emerging Markets Corporate Bond |
None |
Bodereau |
PIMCO Preferred and Capital Securities |
Over $1,000,000 |
Borromeo |
PIMCO Diversified Income |
None |
|
PIMCO Climate Bond |
None |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Brightman |
PIMCO All Asset |
None |
PIMCO All Asset All Authority |
Over $1,000,000 | |
PIMCO RAE PLUS EMG |
None | |
PIMCO RAE Fundamental Advantage PLUS |
None | |
PIMCO RAE PLUS |
None | |
PIMCO RAE PLUS International |
None | |
PIMCO RAE PLUS Small |
None | |
PIMCO RAE Worldwide Long/Short PLUS |
None | |
Brons |
PIMCO Climate Bond |
None |
PIMCO ESG Income |
None | |
PIMCO Low Duration |
None | |
PIMCO Low Duration ESG |
None | |
PIMCO Total Return ESG |
None | |
PIMCO Total Return V |
None | |
Browne |
PIMCO Global Core Asset Allocation |
$100,001 - $500,000 |
Burthey |
PIMCO Climate Bond |
None |
Chiaverini |
PIMCO Short-Term |
None |
|
PIMCO Short Asset Investment |
$50,001 - $100,000 |
Christine |
PIMCO California Intermediate Municipal Bond |
None |
|
PIMCO California Municipal Bond |
None |
|
PMCO California Short Duration Municipal Income |
None |
|
PIMCO High Yield Municipal Bond |
$100,001 - $500,000 |
|
PIMCO Municipal Bond |
None |
|
PIMCO National Intermediate Municipal Bond |
None |
|
PIMCO New York Municipal Bond |
None |
|
PIMCO Short Duration Municipal Income |
None |
Cudzil |
PIMCO Extended Duration |
None |
PIMCO GNMA and Government Securities |
None | |
PIMCO Long Duration Total Return |
None | |
PIMCO Long-Term U.S. Government |
None | |
PIMCO Low Duration II |
None | |
PIMCO Moderate Duration |
None | |
PIMCO Mortgage-Backed Securities |
None | |
PIMCO StocksPLUS® Long Duration |
$500,001 - $1,000,000 |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Davidson |
PIMCO Emerging Markets Local Currency and Bond |
None |
PIMCO Emerging Markets Currency and Short-Term Investments |
None | |
DeWitt |
PIMCO CommodityRealReturn Strategy Fund® |
$10,001 - $50,000 |
PIMCO CommoditiesPLUS® Strategy
|
None | |
Dhawan |
PIMCO Emerging Markets Local Currency and Bond |
None |
PIMCO Emerging Markets Bond |
$1 - $10,000 | |
PIMCO Emerging Markets Currency and Short-Term Investments |
$10,001 - $50,000 | |
PIMCO Emerging Markets Full Spectrum Bond |
None | |
PIMCO Global Advantage® Strategy Bond |
None | |
Dorsten |
PIMCO TRENDS Managed Futures Strategy |
$10,001 - $50,000 |
Duko |
PIMCO Credit Opportunities Bond Fund |
None |
|
PIMCO High Yield |
None |
|
PIMCO Low Duration Credit |
None |
Forgash |
PIMCO High Yield |
$100,001 - $500,000 |
PIMCO High Yield Spectrum |
None | |
PIMCO Low Duration Credit |
None | |
Gunther |
PIMCO California Municipal Intermediate Value |
None |
PIMCO California Municipal Opportunistic Value |
None | |
PIMCO National Municipal Intermediate Value |
None | |
PIMCO National Municipal Opportunistic Value |
None | |
Munish Gupta |
PIMCO GNMA and Government Securities |
None |
|
PIMCO Mortgage Opportunities and Bond |
None |
|
PIMCO Mortgage-Backed Securities |
None |
Sachin Gupta |
PIMCO International Bond (Unhedged) |
None |
PIMCO International Bond (U.S. Dollar-Hedged) |
None | |
PIMCO Global Advantage® Strategy Bond |
None | |
PIMCO Global Bond Opportunities (U.S. Dollar-Hedged) |
None |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Hagedorn |
PIMCO CommoditiesPLUS® Strategy |
$10,001 - $50,000 |
Hammer |
PIMCO California Intermediate Municipal Bond |
None |
PIMCO California Municipal Bond |
None | |
PIMCO California Municipal Intermediate Value |
None | |
PIMCO California Municipal Opportunistic Value |
None | |
PIMCO California Short Duration Municipal Income |
None | |
PIMCO High Yield Municipal Bond |
Over $1,000,000 | |
PIMCO Municipal Bond |
$100,001 - $500,000 | |
PIMCO National Municipal Intermediate Value |
None | |
PIMCO National Municipal Opportunistic Value |
None | |
PIMCO National Intermediate Municipal Bond |
None | |
PIMCO New York Municipal Bond |
None | |
PIMCO Short Duration Municipal Income |
None | |
Hannibal |
PIMCO California Municipal Intermediate Value |
None |
PIMCO California Municipal Opportunistic Value |
None | |
PIMCO National Municipal Intermediate Value |
None | |
PIMCO National Municipal Opportunistic Value |
None | |
He |
PIMCO Inflation Response Multi-Asset |
$10,001 - $50,000 |
PIMCO Long-Term Real Return |
$10,001 - $50,000 | |
PIMCO Real Return |
$10,001 - $50,000 | |
PIMCO RealEstateRealReturn Strategy |
$10,001 - $50,000 | |
Huang |
PIMCO RealEstateRealReturn Strategy |
None |
Hyman |
PIMCO GNMA and Government Securities |
$500,001 - $1,000,000 |
PIMCO Mortgage-Backed Securities |
None | |
PIMCO Mortgage Opportunities and Bond |
$100,001 - $500,000 | |
PIMCO Low Duration |
None | |
PIMCO Moderate Duration |
None |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Ivascyn |
PIMCO Diversified Income |
None |
PIMCO ESG Income |
Over $1,000,000 | |
PIMCO Income |
Over $1,000,000 | |
PIMCO Low Duration Income |
None | |
PIMCO Dynamic Bond |
None | |
PIMCO Total Return |
Over $1,000,000 | |
PIMCO Total Return IV |
None | |
Kiesel |
PIMCO Credit Opportunities Bond |
$10,001 - $50,000 |
PIMCO Investment Grade Credit Bond |
$500,001 - $1,000,000 | |
PIMCO Long-Term Credit Bond |
$500,001 - $1,000,000 | |
PIMCO Total Return |
None | |
PIMCO Total Return II |
None | |
PIMCO Total Return IV |
None | |
PIMCO Total Return V |
None | |
PIMCO Total Return ESG |
None | |
Martinez |
PIMCO Government Money Market |
None |
Mary |
PIMCO Climate Bond |
None |
Masturzo |
PIMCO All Asset Fund |
$50,001 - $100,000 |
|
PIMCO All Asset All Authority Fund |
$10,001 - $50,000 |
Mittal |
PIMCO Dynamic Bond |
$100,001 - $500,000 |
PIMCO Emerging Markets Corporate Bond |
None | |
PIMCO Investment Grade Credit Bond |
Over $1,000,000 | |
PIMCO Long Duration Total Return |
None | |
PIMCO Long-Term Credit Bond |
$100,001 - $500,000 | |
PIMCO Low Duration Opportunities |
None | |
PIMCO StocksPLUS® Long Duration |
Over $1,000,000 | |
PIMCO Total Return |
Over $1,000,000 | |
PIMCO Total Return II |
None | |
PIMCO Total Return IV |
None | |
PIMCO Total Return V |
None | |
PIMCO Total Return ESG |
None | |
Murata |
PIMCO Credit Opportunities Bond Fund |
None |
|
PIMCO Diversified Income |
$100,001 - $500,000 |
PIMCO ESG Income |
None | |
PIMCO Income |
$500,001 - $1,000,000 | |
PIMCO Low Duration Income |
None | |
PIMCO Mortgage Opportunities and Bond |
$1 - $10,000 |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Pagani |
PIMCO International Bond (Unhedged) |
None |
PIMCO International Bond (U.S. Dollar-Hedged) |
None | |
PIMCO Global Bond Opportunities (U.S. Dollar-Hedged) |
None | |
Pier |
PIMCO Credit Opportunities Bond Fund |
None |
|
PIMCO Diversified Income |
$100,001 - $500,000 |
PIMCO High Yield |
None | |
PIMCO High Yield Spectrum |
$100,001 - $500,000 | |
|
PIMCO Low Duration Credit Fund |
None |
Rennison |
PIMCO RAE Worldwide Long/Short PLUS |
None |
PIMCO TRENDS Managed Futures Strategy |
$10,001 - $50,000 | |
Rodosky |
PIMCO CommodityRealReturn Strategy Fund® |
None |
PIMCO Extended Duration |
None | |
PIMCO Inflation Response Multi-Asset |
$100,001 - $500,000 | |
PIMCO Long Duration Total Return |
None | |
PIMCO Long-Term Real Return |
None | |
PIMCO Long-Term U.S. Government |
None | |
PIMCO Real Return |
$100,001 - $500,000 | |
PIMCO RealEstateRealReturn Strategy |
None | |
PIMCO StocksPLUS® Long Duration |
None | |
Romo |
PIMCO Emerging Markets Bond |
$100,001 - $500,000 |
Schneider |
PIMCO Government Money Market |
None |
PIMCO Low Duration |
$500,001 - $1,000,000 | |
PIMCO Low Duration II |
None | |
PIMCO Low Duration ESG |
None | |
PIMCO Moderate Duration |
None | |
PIMCO Short Asset Investment |
$100,001 - $500,000 | |
PIMCO Short-Term |
$500,001 - $1,000,000 |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Seidner |
PIMCO Dynamic Bond |
Over $1,000,000 |
PIMCO Low Duration |
Over $1,000,000 | |
PIMCO Low Duration II |
None | |
PIMCO Low Duration ESG |
None | |
PIMCO Low Duration Opportunities |
None | |
PIMCO Moderate Duration |
None | |
PIMCO RAE Fundamental Advantage PLUS |
None | |
PIMCO RAE PLUS EMG |
None | |
PIMCO RAE PLUS |
None | |
PIMCO RAE PLUS International |
None | |
PIMCO RAE PLUS Small |
None | |
PIMCO RAE Worldwide Long/Short PLUS |
None | |
PIMCO StocksPLUS® Absolute Return |
None | |
PIMCO StocksPLUS® |
None | |
PIMCO StocksPLUS® International (U.S. Dollar-Hedged) |
None | |
PIMCO StocksPLUS® International (Unhedged) |
None | |
PIMCO StocksPLUS® Short |
None | |
PIMCO StocksPLUS® Small |
None | |
Sharef |
PIMCO Global Core Asset Allocation |
$50,001 - $100,000 |
PIMCO Inflation Response Multi-Asset |
None | |
Sharenow |
PIMCO CommoditiesPLUS® Strategy
|
$100,001 - $500,000 |
PIMCO CommodityRealReturn Strategy® |
$100,001 - $500,000 | |
PIMCO Inflation Response Multi-Asset |
$100,001 - $500,000 |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Tsu |
PIMCO CommoditiesPLUS® Strategy |
None |
PIMCO RAE Fundamental Advantage PLUS |
None | |
PIMCO RAE PLUS EMG |
None | |
PIMCO RAE PLUS |
None | |
PIMCO RAE PLUS International |
None | |
PIMCO RAE PLUS Small |
None | |
PIMCO RAE Worldwide Long/Short PLUS |
None | |
PIMCO StocksPLUS® Absolute Return |
None | |
PIMCO StocksPLUS® |
None | |
PIMCO StocksPLUS® International (U.S. Dollar-Hedged) |
$100,001 - $500,000 | |
PIMCO StocksPLUS® International (Unhedged) |
None | |
PIMCO StocksPLUS® Short |
None | |
PIMCO StocksPLUS® Small |
None | |
Wang |
PIMCO Total Return |
None |
PIMCO Total Return ESG |
None | |
PIMCO Total Return IV |
None | |
PIMCO Total Return V |
None | |
Watford |
PIMCO Diversified Income |
None |
PIMCO High Yield Spectrum |
None | |
Wittkop |
PIMCO Government Money Market |
None |
PIMCO Short-Term |
None | |
PIMCO Short Asset Investment |
None |
Portfolio Manager |
Funds Managed by Portfolio Manager |
Dollar
Range of Shares Owned |
Yang |
PIMCO ESG Income |
None |
PIMCO Mortgage Opportunities and Bond |
$100,001 - $500,000 | |
PIMCO RAE Fundamental Advantage PLUS |
None | |
PIMCO RAE PLUS EMG |
$1 - $10,000 | |
PIMCO RAE PLUS |
None | |
PIMCO RAE PLUS International |
None | |
PIMCO RAE PLUS Small |
None | |
PIMCO RAE Worldwide Long/Short PLUS |
None | |
PIMCO StocksPLUS® Absolute Return |
None | |
PIMCO StocksPLUS® |
$100,001 - $500,000 | |
PIMCO StocksPLUS® International (U.S. Dollar-Hedged) |
$100,001 - $500,000 | |
PIMCO StocksPLUS® International (Unhedged) |
None | |
PIMCO StocksPLUS® Short |
None | |
PIMCO StocksPLUS® Small |
None |
|
Year Ended 3/31/2024 |
Year Ended 3/31/2023 |
Year Ended 3/31/2022 |
Class A |
$364,844 |
$1,062,009 |
$2,061,641 |
Class C |
417,885 |
681,390 |
979,988 |
Class C-2 |
2,343 |
5,629 |
9,444 |
Fund |
Servicing Fee(1)
|
Distribution Fee(1)
|
Class A | ||
PIMCO Government Money Market
Fund(3) |
0.10% |
None |
All other Funds |
0.25% |
None |
Class C(2)
| ||
PIMCO Government Money Market
Fund(3) |
0.10% |
None |
PIMCO Low Duration, PIMCO Low Duration Income, PIMCO Short Duration Municipal Income and PIMCO Short-Term Funds |
0.25% |
0.30% |
PIMCO Municipal Bond, PIMCO National Intermediate Municipal Bond, PIMCO Real Return and PIMCO StocksPLUS® Funds |
0.25% |
0.50% |
All other Funds |
0.25% |
0.75% |
Fund |
Servicing Fee(1) |
Distribution Fee(1) |
Class C-2 | ||
All Funds |
0.25% |
0.50% |
Class R | ||
All Funds |
0.25% |
0.25% |
For the following Funds, the Distributor pays to the dealer an annual 1.00% Rule 12b-1 trail fee for sales of Class C shares: |
PIMCO Climate Bond Fund, PIMCO CommoditiesPLUS Strategy Fund, PIMCO Commodity RealReturnStrategy Fund, PIMCO Credit Opportunities Bond Fund, PIMCO Low Duration Credit Fund, PIMCO Preferred and Capital Securities Fund, PIMCO RealEstateRealReturn Strategy Fund, PIMCO Total Return ESG Fund, PIMCO TRENDS Managed Futures Strategy Fund and PIMCO RAE Worldwide Long/Short PLUS Fund |
For the following Funds, the Distributor pays to the dealer an annual 0.90% Rule 12b-1 trail fee for sales of Class C shares: |
PIMCO All Asset All Authority Fund, PIMCO All Asset Fund, PIMCO California Intermediate Municipal Bond Fund, PIMCO California Municipal Bond Fund, PIMCO Diversified Income Fund, PIMCO Dynamic Bond Fund, PIMCO Emerging Markets Bond Fund, PIMCO Emerging Markets Local Currency and Bond Fund, PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged), PIMCO Global Core Asset Allocation Fund, PIMCO GNMA and Government Securities Fund, PIMCO High Yield Fund, PIMCO High Yield Municipal Bond Fund, PIMCO High Yield Spectrum Fund, PIMCO Income Fund, PIMCO International Bond Fund (U.S. Dollar-Hedged), PIMCO International Bond Fund (Unhedged), PIMCO Investment Grade Credit Bond Fund, PIMCO Long Duration Total Return Fund, PIMCO Long- Term US Government Fund, PIMCO Low Duration Opportunities Fund, PIMCO Mortgage Opportunities and Bond Fund, PIMCO Mortgage-Backed Securities Fund, PIMCO New York Municipal Bond Fund, PIMCO RAE PLUS EMG Fund, PIMCO RAE PLUS Fund, PIMCO RAE PLUS Small Fund, PIMCO StocksPLUS® Absolute Return Fund, PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged), PIMCO StocksPLUS® International Fund (Unhedged), PIMCO StocksPLUS® Short Fund, PIMCO StocksPLUS® Small Fund and PIMCO Total Return Fund |
For the following Funds, the Distributor pays to the dealer an annual 0.70% Rule 12b-1 trail fee for sales of Class C shares: |
PIMCO Municipal Bond Fund, PIMCO National Intermediate Municipal Bond Fund, PIMCO Real Return Fund and PIMCO StocksPLUS® Fund |
For the following Funds, the Distributor pays to the dealer an annual 0.50% Rule 12b-1 trail fee for sales of Class C shares and an annual 0.70% Rule 12b-1 trail fee for sales of Class C-2 shares, as applicable: |
PIMCO Low Duration Fund, PIMCO Low Duration Income Fund, PIMCO Short Duration Municipal Income Fund and PIMCO Short-Term Fund |
For the following Fund, the Distributor does not pay to the dealer an annual Rule 12b-1 trail fee for sales of Class C shares: |
PIMCO Government Money Market Fund |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$681,222 |
$877,854 |
$1,160,670 |
PIMCO All Asset Fund |
1,616,351 |
1,931,584 |
2,313,345 |
PIMCO California Intermediate Municipal Bond Fund |
101,063 |
115,912 |
187,396 |
PIMCO California Municipal Bond Fund |
122,829 |
97,685 |
122,893 |
PIMCO California Short Duration Municipal Income Fund |
47,971 |
55,565 |
79,794 |
PIMCO Climate Bond Fund |
2,763 |
1,981 |
1,837 |
PIMCO CommoditiesPLUS® Strategy Fund |
263,294 |
314,549 |
251,342 |
PIMCO CommodityRealReturn Strategy Fund® |
701,979 |
1,088,747 |
883,600 |
PIMCO Credit Opportunities Bond Fund |
52,543 |
50,971 |
56,044 |
PIMCO Diversified Income Fund |
472,508 |
584,321 |
875,857 |
PIMCO Dynamic Bond Fund |
393,223 |
486,121 |
624,057 |
PIMCO Emerging Markets Bond Fund |
322,653 |
367,885 |
526,256 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
20,316 |
19,865 |
20,956 |
PIMCO Emerging Markets Local Currency and Bond Fund |
80,227 |
81,279 |
100,585 |
PIMCO ESG Income Fund |
5,639 |
6,631 |
1,794 |
PIMCO Global Advantage® Strategy Bond Fund |
49,633 |
42,387 |
26,437 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
150,842 |
122,323 |
113,646 |
PIMCO Global Core Asset Allocation Fund |
237,049 |
267,877 |
334,529 |
PIMCO GNMA and Government Securities Fund |
516,478 |
517,523 |
764,791 |
PIMCO High Yield Fund |
1,194,912 |
1,368,221 |
1,681,034 |
PIMCO High Yield Municipal Bond Fund |
2,007,432 |
1,877,945 |
2,362,322 |
PIMCO High Yield Spectrum Fund |
104,989 |
109,082 |
135,754 |
PIMCO Income Fund |
32,503,002 |
33,278,318 |
42,282,633 |
PIMCO Inflation Response Multi-Asset Fund |
127,367 |
271,586 |
103,043 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
1,561,086 |
1,809,026 |
2,472,997 |
PIMCO International Bond Fund (Unhedged) |
226,787 |
242,779 |
364,928 |
PIMCO Investment Grade Credit Bond Fund |
1,993,656 |
2,345,402 |
3,479,806 |
PIMCO Long Duration Total Return Fund |
112,237 |
68,788 |
79,660 |
Fund |
2024 |
2023 |
2022 |
PIMCO Long-Term U.S. Government Fund |
126,452 |
144,344 |
199,980 |
PIMCO Low Duration Credit Fund |
105,310 |
143,848 |
146,684 |
PIMCO Low Duration Fund |
1,484,708 |
1,859,954 |
2,461,398 |
PIMCO Low Duration Income Fund |
3,927,297 |
4,480,611 |
5,163,089 |
PIMCO Low Duration Opportunities Fund |
35,650 |
50,138 |
67,245 |
PIMCO Mortgage Opportunities and Bond Fund |
530,443 |
454,184 |
428,478 |
PIMCO Mortgage-Backed Securities Fund |
57,745 |
65,986 |
83,206 |
PIMCO Municipal Bond Fund |
1,420,341 |
1,372,212 |
2,171,674 |
PIMCO National Intermediate Municipal Bond Fund |
197,085 |
144,536 |
126,849 |
PIMCO New York Municipal Bond Fund |
657,856 |
677,267 |
984,517 |
PIMCO Preferred and Capital Securities Fund |
353,591 |
569,552 |
834,494 |
PIMCO RAE Fundamental Advantage PLUS Fund |
27,255 |
34,080 |
27,112 |
PIMCO RAE PLUS EMG Fund |
22,955 |
24,530 |
34,417 |
PIMCO RAE PLUS Fund |
1,079,933 |
1,168,914 |
1,338,796 |
PIMCO RAE PLUS International Fund |
10,167 |
10,789 |
12,609 |
PIMCO RAE PLUS Small Fund |
45,160 |
58,054 |
68,879 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
55,237 |
59,960 |
57,333 |
PIMCO Real Return Fund |
3,094,050 |
3,950,233 |
4,610,033 |
PIMCO RealEstateRealReturn Strategy Fund |
282,673 |
374,048 |
450,991 |
PIMCO Short Asset Investment Fund |
311,052 |
481,116 |
839,611 |
PIMCO Short Duration Municipal Income Fund |
287,054 |
414,749 |
543,796 |
PIMCO Short-Term Fund |
2,096,118 |
2,941,755 |
4,082,514 |
PIMCO StocksPLUS® Absolute Return Fund |
1,254,188 |
1,326,289 |
1,686,354 |
PIMCO StocksPLUS® Fund |
879,226 |
865,589 |
1,052,172 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
875,678 |
839,606 |
917,432 |
PIMCO StocksPLUS® International Fund (Unhedged) |
88,018 |
88,334 |
117,743 |
PIMCO StocksPLUS® Short Fund |
55,716 |
71,695 |
64,825 |
PIMCO StocksPLUS® Small Fund |
623,243 |
804,443 |
1,162,283 |
PIMCO Total Return ESG Fund |
29,708 |
38,982 |
43,646 |
PIMCO Total Return Fund |
11,992,955 |
14,087,756 |
18,578,372 |
PIMCO Total Return Fund IV |
26,717 |
31,233 |
41,947 |
PIMCO TRENDS Managed Futures Strategy Fund |
204,518 |
346,879 |
118,773 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO All Asset All Authority Fund |
$503,764 |
$177,458 |
$681,222 |
PIMCO All Asset Fund |
1,195,292 |
421,059 |
1,616,351 |
PIMCO California Intermediate Municipal Bond Fund |
74,736 |
26,327 |
101,063 |
PIMCO California Municipal Bond Fund |
90,832 |
31,997 |
122,829 |
PIMCO California Short Duration Municipal Income Fund |
35,475 |
12,496 |
47,971 |
PIMCO Climate Bond Fund |
2,043 |
720 |
2,763 |
PIMCO CommoditiesPLUS® Strategy Fund |
194,706 |
68,588 |
263,294 |
PIMCO CommodityRealReturn Strategy Fund® |
519,113 |
182,866 |
701,979 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO Credit Opportunities Bond Fund |
38,856 |
13,687 |
52,543 |
PIMCO Diversified Income Fund |
349,420 |
123,088 |
472,508 |
PIMCO Dynamic Bond Fund |
290,788 |
102,435 |
393,223 |
PIMCO Emerging Markets Bond Fund |
238,602 |
84,051 |
322,653 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
15,024 |
5,292 |
20,316 |
PIMCO Emerging Markets Local Currency and Bond Fund |
59,328 |
20,899 |
80,227 |
PIMCO ESG Income Fund |
4,170 |
1,469 |
5,639 |
PIMCO Global Advantage® Strategy Bond Fund |
36,704 |
12,929 |
49,633 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
111,548 |
39,294 |
150,842 |
PIMCO Global Core Asset Allocation Fund |
175,298 |
61,751 |
237,049 |
PIMCO GNMA and Government Securities Fund |
381,935 |
134,543 |
516,478 |
PIMCO High Yield Fund |
883,637 |
311,275 |
1,194,912 |
PIMCO High Yield Municipal Bond Fund |
1,484,496 |
522,936 |
2,007,432 |
PIMCO High Yield Spectrum Fund |
77,639 |
27,350 |
104,989 |
PIMCO Income Fund |
24,035,970 |
8,467,032 |
32,503,002 |
PIMCO Inflation Response Multi-Asset Fund |
94,188 |
33,179 |
127,367 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
1,154,423 |
406,663 |
1,561,086 |
PIMCO International Bond Fund (Unhedged) |
167,709 |
59,078 |
226,787 |
PIMCO Investment Grade Credit Bond Fund |
1,474,309 |
519,347 |
1,993,656 |
PIMCO Long Duration Total Return Fund |
82,999 |
29,238 |
112,237 |
PIMCO Long-Term U.S. Government Fund |
93,511 |
32,941 |
126,452 |
PIMCO Low Duration Credit Fund |
77,877 |
27,433 |
105,310 |
PIMCO Low Duration Fund |
1,097,942 |
386,766 |
1,484,708 |
PIMCO Low Duration Income Fund |
2,904,236 |
1,023,061 |
3,927,297 |
PIMCO Low Duration Opportunities Fund |
26,363 |
9,287 |
35,650 |
PIMCO Mortgage Opportunities and Bond Fund |
392,263 |
138,180 |
530,443 |
PIMCO Mortgage-Backed Securities Fund |
42,702 |
15,043 |
57,745 |
PIMCO Municipal Bond Fund |
1,050,342 |
369,999 |
1,420,341 |
PIMCO National Intermediate Municipal Bond Fund |
145,744 |
51,341 |
197,085 |
PIMCO New York Municipal Bond Fund |
486,485 |
171,371 |
657,856 |
PIMCO Preferred and Capital Securities Fund |
261,481 |
92,110 |
353,591 |
PIMCO RAE Fundamental Advantage PLUS Fund |
20,155 |
7,100 |
27,255 |
PIMCO RAE PLUS EMG Fund |
16,975 |
5,980 |
22,955 |
PIMCO RAE PLUS Fund |
798,610 |
281,323 |
1,079,933 |
PIMCO RAE PLUS International Fund |
7,518 |
2,649 |
10,167 |
PIMCO RAE PLUS Small Fund |
33,396 |
11,764 |
45,160 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
40,848 |
14,389 |
55,237 |
PIMCO Real Return Fund |
2,288,050 |
806,000 |
3,094,050 |
PIMCO RealEstateRealReturn Strategy Fund |
209,037 |
73,636 |
282,673 |
PIMCO Short Asset Investment Fund |
230,023 |
81,029 |
311,052 |
PIMCO Short Duration Municipal Income Fund |
212,276 |
74,778 |
287,054 |
PIMCO Short-Term Fund |
1,550,079 |
546,039 |
2,096,118 |
PIMCO StocksPLUS® Absolute Return Fund |
927,472 |
326,716 |
1,254,188 |
PIMCO StocksPLUS® Fund |
650,188 |
229,038 |
879,226 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
647,564 |
228,114 |
875,678 |
PIMCO StocksPLUS® International Fund (Unhedged) |
65,089 |
22,929 |
88,018 |
PIMCO StocksPLUS® Short Fund |
41,202 |
14,514 |
55,716 |
PIMCO StocksPLUS® Small Fund |
460,888 |
162,355 |
623,243 |
PIMCO Total Return ESG Fund |
21,969 |
7,739 |
29,708 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO Total Return Fund |
8,868,790 |
3,124,165 |
11,992,955 |
PIMCO Total Return Fund IV |
19,757 |
6,960 |
26,717 |
PIMCO TRENDS Managed Futures Strategy Fund |
151,241 |
53,277 |
204,518 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset All Authority Fund |
$159,504 |
$272,711 |
$474,984 |
PIMCO All Asset Fund |
361,289 |
489,889 |
626,427 |
PIMCO California Intermediate Municipal Bond Fund |
30,908 |
36,645 |
46,047 |
PIMCO California Municipal Bond Fund |
23,066 |
22,598 |
29,859 |
PIMCO Climate Bond Fund |
379 |
215 |
420 |
PIMCO CommoditiesPLUS® Strategy Fund |
125,192 |
165,367 |
78,825 |
PIMCO CommodityRealReturn Strategy Fund® |
445,369 |
789,560 |
462,185 |
PIMCO Credit Opportunities Bond Fund |
20,279 |
29,705 |
37,242 |
PIMCO Diversified Income Fund |
269,897 |
369,427 |
607,803 |
PIMCO Dynamic Bond Fund |
101,471 |
153,476 |
245,969 |
PIMCO Emerging Markets Bond Fund |
48,910 |
61,804 |
107,359 |
PIMCO Emerging Markets Local Currency and Bond Fund |
23,098 |
19,337 |
27,815 |
PIMCO ESG Income Fund |
1,168 |
1,060 |
944 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
36,224 |
38,357 |
51,523 |
PIMCO Global Core Asset Allocation Fund |
37,068 |
57,912 |
93,501 |
PIMCO GNMA and Government Securities Fund |
131,367 |
154,560 |
289,584 |
PIMCO High Yield Fund |
151,890 |
200,011 |
315,008 |
PIMCO High Yield Municipal Bond Fund |
517,714 |
510,684 |
682,180 |
PIMCO High Yield Spectrum Fund |
43,894 |
45,466 |
51,572 |
PIMCO Income Fund |
38,663,146 |
46,823,534 |
65,167,529 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
245,620 |
344,701 |
551,173 |
PIMCO International Bond Fund (Unhedged) |
27,620 |
31,260 |
42,885 |
PIMCO Investment Grade Credit Bond Fund |
981,273 |
1,316,939 |
2,171,067 |
PIMCO Long Duration Total Return Fund |
69,214 |
25,834 |
27,818 |
PIMCO Long-Term U.S. Government Fund |
166,263 |
132,829 |
135,315 |
PIMCO Low Duration Credit Fund |
52,869 |
64,404 |
81,565 |
PIMCO Low Duration Fund |
154,539 |
222,816 |
325,512 |
PIMCO Low Duration Income Fund |
983,340 |
1,114,001 |
1,246,587 |
PIMCO Low Duration Opportunities Fund |
16,394 |
30,607 |
38,752 |
PIMCO Mortgage Opportunities and Bond Fund |
254,305 |
272,598 |
312,719 |
PIMCO Mortgage-Backed Securities Fund |
7,017 |
9,859 |
32,856 |
PIMCO Municipal Bond Fund |
220,415 |
241,686 |
333,857 |
PIMCO National Intermediate Municipal Bond Fund |
25,723 |
17,579 |
18,524 |
PIMCO New York Municipal Bond Fund |
136,272 |
164,552 |
215,545 |
PIMCO Preferred and Capital Securities Fund |
150,071 |
189,910 |
234,408 |
PIMCO RAE PLUS EMG Fund |
5,381 |
7,677 |
14,332 |
PIMCO RAE PLUS Fund |
417,664 |
688,199 |
1,135,441 |
PIMCO RAE PLUS Small Fund |
36,215 |
44,829 |
39,395 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
22,905 |
43,404 |
91,752 |
PIMCO Real Return Fund |
547,651 |
806,534 |
736,891 |
Fund |
2024 |
2023 |
2022 |
PIMCO RealEstateRealReturn Strategy Fund |
63,247 |
132,414 |
177,660 |
PIMCO Short Duration Municipal Income Fund |
20,573 |
24,176 |
26,050 |
PIMCO Short-Term Fund |
316,463 |
399,696 |
489,212 |
PIMCO StocksPLUS® Absolute Return Fund |
788,339 |
997,599 |
1,390,667 |
PIMCO StocksPLUS® Fund |
380,125 |
450,917 |
616,009 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
392,262 |
500,851 |
692,441 |
PIMCO StocksPLUS® International Fund (Unhedged) |
13,326 |
19,315 |
35,393 |
PIMCO StocksPLUS® Short Fund |
46,880 |
53,875 |
52,293 |
PIMCO StocksPLUS® Small Fund |
286,944 |
433,288 |
712,246 |
PIMCO Total Return ESG Fund |
8,227 |
8,476 |
7,803 |
PIMCO Total Return Fund |
1,368,890 |
1,772,149 |
2,889,863 |
PIMCO TRENDS Managed Futures Strategy Fund |
197 |
— |
— |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO All Asset All Authority Fund |
$117,953 |
$41,551 |
$159,504 |
PIMCO All Asset Fund |
267,173 |
94,116 |
361,289 |
PIMCO California Intermediate Municipal Bond Fund |
22,856 |
8,052 |
30,908 |
PIMCO California Municipal Bond Fund |
17,057 |
6,009 |
23,066 |
PIMCO Climate Bond Fund |
280 |
99 |
379 |
PIMCO CommoditiesPLUS® Strategy Fund |
92,579 |
32,613 |
125,192 |
PIMCO CommodityRealReturn Strategy Fund® |
329,350 |
116,019 |
445,369 |
PIMCO Credit Opportunities Bond Fund |
14,996 |
5,283 |
20,279 |
PIMCO Diversified Income Fund |
199,589 |
70,308 |
269,897 |
PIMCO Dynamic Bond Fund |
75,038 |
26,433 |
101,471 |
PIMCO Emerging Markets Bond Fund |
36,169 |
12,741 |
48,910 |
PIMCO Emerging Markets Local Currency and Bond Fund |
17,081 |
6,017 |
23,098 |
PIMCO ESG Income Fund |
864 |
304 |
1,168 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
26,788 |
9,436 |
36,224 |
PIMCO Global Core Asset Allocation Fund |
27,412 |
9,656 |
37,068 |
PIMCO GNMA and Government Securities Fund |
97,146 |
34,221 |
131,367 |
PIMCO High Yield Fund |
112,323 |
39,567 |
151,890 |
PIMCO High Yield Municipal Bond Fund |
382,850 |
134,864 |
517,714 |
PIMCO High Yield Spectrum Fund |
32,460 |
11,434 |
43,894 |
PIMCO Income Fund |
28,591,396 |
10,071,750 |
38,663,146 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
181,636 |
63,984 |
245,620 |
PIMCO International Bond Fund (Unhedged) |
20,425 |
7,195 |
27,620 |
PIMCO Investment Grade Credit Bond Fund |
725,651 |
255,622 |
981,273 |
PIMCO Long Duration Total Return Fund |
51,184 |
18,030 |
69,214 |
PIMCO Long-Term U.S. Government Fund |
122,951 |
43,312 |
166,263 |
PIMCO Low Duration Credit Fund |
39,097 |
13,772 |
52,869 |
PIMCO Low Duration Fund |
114,282 |
40,257 |
154,539 |
PIMCO Low Duration Income Fund |
727,180 |
256,160 |
983,340 |
PIMCO Low Duration Opportunities Fund |
12,123 |
4,271 |
16,394 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO Mortgage Opportunities and Bond Fund |
188,059 |
66,246 |
254,305 |
PIMCO Mortgage-Backed Securities Fund |
5,189 |
1,828 |
7,017 |
PIMCO Municipal Bond Fund |
162,997 |
57,418 |
220,415 |
PIMCO National Intermediate Municipal Bond Fund |
19,022 |
6,701 |
25,723 |
PIMCO New York Municipal Bond Fund |
100,773 |
35,499 |
136,272 |
PIMCO Preferred and Capital Securities Fund |
110,978 |
39,093 |
150,071 |
PIMCO RAE PLUS EMG Fund |
3,979 |
1,402 |
5,381 |
PIMCO RAE PLUS Fund |
308,863 |
108,801 |
417,664 |
PIMCO RAE PLUS Small Fund |
26,781 |
9,434 |
36,215 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
16,938 |
5,967 |
22,905 |
PIMCO Real Return Fund |
404,988 |
142,663 |
547,651 |
PIMCO RealEstateRealReturn Strategy Fund |
46,771 |
16,476 |
63,247 |
PIMCO Short Duration Municipal Income Fund |
15,214 |
5,359 |
20,573 |
PIMCO Short-Term Fund |
234,024 |
82,439 |
316,463 |
PIMCO StocksPLUS® Absolute Return Fund |
582,977 |
205,362 |
788,339 |
PIMCO StocksPLUS® Fund |
281,102 |
99,023 |
380,125 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
290,078 |
102,184 |
392,262 |
PIMCO StocksPLUS® International Fund (Unhedged) |
9,855 |
3,471 |
13,326 |
PIMCO StocksPLUS® Short Fund |
34,668 |
12,212 |
46,880 |
PIMCO StocksPLUS® Small Fund |
212,195 |
74,749 |
286,944 |
PIMCO Total Return ESG Fund |
6,084 |
2,143 |
8,227 |
PIMCO Total Return Fund |
1,012,294 |
356,596 |
1,368,890 |
PIMCO TRENDS Managed Futures Strategy Fund |
146 |
51 |
197 |
Fund |
2024 |
2023 |
2022 |
PIMCO Low Duration Fund |
$5,737 |
$3,959 |
$3,357 |
PIMCO Low Duration Income Fund |
63,402 |
63,587 |
52,426 |
PIMCO Short Duration Municipal Income Fund |
1,105 |
915 |
980 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO Low Duration Fund |
$4,243 |
$1,494 |
$5,737 |
PIMCO Low Duration Income Fund |
46,886 |
16,516 |
63,402 |
PIMCO Short Duration Municipal Income Fund |
817 |
288 |
1,105 |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset Fund |
$184,114 |
$198,078 |
$231,686 |
PIMCO CommodityRealReturn Strategy Fund® |
188,682 |
293,338 |
184,904 |
PIMCO Dynamic Bond Fund |
24,358 |
25,576 |
29,898 |
PIMCO High Yield Fund |
159,107 |
167,444 |
184,862 |
PIMCO Income Fund |
2,255,691 |
2,294,938 |
2,711,294 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
269,404 |
294,596 |
358,228 |
PIMCO Low Duration Fund |
419,622 |
543,642 |
585,742 |
PIMCO Real Return Fund |
949,026 |
1,116,602 |
1,243,864 |
PIMCO Short-Term Fund |
670,869 |
839,216 |
652,904 |
PIMCO StocksPLUS® Fund |
268,657 |
270,706 |
295,760 |
PIMCO Total Return Fund |
1,972,275 |
2,343,974 |
3,186,086 |
Fund |
Sales Commissions
and Compensation |
Sales Material
and Other
Expenses |
2024 Total |
PIMCO All Asset Fund |
$136,152 |
$47,962 |
$184,114 |
PIMCO CommodityRealReturn Strategy Fund® |
139,530 |
49,152 |
188,682 |
PIMCO Dynamic Bond Fund |
18,013 |
6,345 |
24,358 |
PIMCO High Yield Fund |
117,660 |
41,447 |
159,107 |
PIMCO Income Fund |
1,668,083 |
587,608 |
2,255,691 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
199,224 |
70,180 |
269,404 |
PIMCO Low Duration Fund |
310,310 |
109,312 |
419,622 |
PIMCO Real Return Fund |
701,805 |
247,221 |
949,026 |
PIMCO Short-Term Fund |
496,108 |
174,761 |
670,869 |
PIMCO StocksPLUS® Fund |
198,672 |
69,985 |
268,657 |
PIMCO Total Return Fund |
1,458,497 |
513,778 |
1,972,275 |
Administrative Class |
Distribution and/or Servicing Fee |
PIMCO Government Money Market Fund |
0.10 % |
Administrative Class |
Distribution and/or Servicing Fee |
All other Funds |
0.25 % |
Fund |
2024 |
2023 |
2022 |
PIMCO All Asset Fund |
$146,951 |
$167,058 |
$213,597 |
PIMCO CommodityRealReturn Strategy Fund® |
260,640 |
308,508 |
324,733 |
PIMCO Diversified Income Fund |
33,006 |
45,177 |
28,625 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
9,354 |
27,695 |
31,370 |
PIMCO High Yield Fund |
762,957 |
824,752 |
1,066,225 |
PIMCO Income Fund |
705,556 |
803,228 |
1,132,226 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
171,162 |
215,742 |
347,537 |
PIMCO International Bond Fund (Unhedged) |
35,351 |
52,701 |
87,624 |
Fund |
2024 |
2023 |
2022 |
PIMCO Investment Grade Credit Bond Fund |
72,170 |
94,161 |
205,745 |
PIMCO Long-Term U.S. Government Fund |
— |
— |
15,402 |
PIMCO Low Duration Fund |
61,281 |
71,262 |
86,248 |
PIMCO Low Duration Fund II |
22,998 |
23,194 |
24,914 |
PIMCO Real Return Fund |
809,100 |
844,948 |
1,748,876 |
PIMCO Short Asset Investment Fund |
1,170 |
2,836 |
4,465 |
PIMCO Short-Term Fund |
49,116 |
58,821 |
68,456 |
PIMCO StocksPLUS® Fund |
— |
— |
7,744 |
PIMCO StocksPLUS® Small Fund |
2,618 |
6,669 |
15,574 |
PIMCO Total Return ESG Fund |
39,881 |
47,932 |
55,673 |
PIMCO Total Return Fund |
2,208,210 |
3,139,896 |
4,297,098 |
PIMCO Total Return Fund II |
— |
— |
4,964 |
Regular Mail: |
Overnight Delivery: |
PIMCO Funds P.O. Box 219294 Kansas City, MO 64121-9294 |
PIMCO Funds c/o SS&C Global Investor & Distribution Solutions, Inc. 430 W. 7th Street STE 219294 Kansas City, MO 64105-1407 |
Facsimile: |
|
816.421.2861 |
|
Regular Mail: |
Overnight Delivery: |
PIMCO Funds P.O. Box 219024 Kansas City, MO 64121-9024 |
PIMCO Funds c/o SS&C Global Investor & Distribution Solutions, Inc. 430 W. 7th Street STE 219024 Kansas City, MO 64105-1407 |
Email: |
|
piprocess@dstsystems.com |
|
Regular Mail: |
Overnight Delivery: |
PIMCO Funds P.O. Box 219224 Kansas City, MO 64121-9024 |
PIMCO Funds c/o SS&C Global Investor & Distribution Solutions, Inc. 430 W. 7th Street STE 219024 Kansas City, MO 64105-1407 |
Email: |
|
piprocess@dstsystems.com |
|
Facsimile: |
|
816.421.2861 |
|
Regular Mail: |
Overnight Delivery: |
PIMCO Funds P.O. Box 219024 Kansas City, MO 64121-9024 |
PIMCO Funds c/o SS&C Global Investor & Distribution Solutions, Inc. 430 W. 7th Street STE 219024 Kansas City, MO 64105-1407 |
Facsimile: |
|
Email: |
|
piprocess@dstsystems.com |
|
Type of Account |
Initial
Minimum Investment |
Subsequent Minimum Investment |
Regular/General Retail Accounts |
$1,000 per Fund |
$50 per Fund |
IRA |
$1,000 per Fund |
$50 per Fund |
Roth IRA |
$1,000 per Fund |
$50 per Fund |
UTMA |
$1,000 per Fund |
$50 per Fund |
UGMA |
$1,000 per Fund |
$50 per Fund |
Automatic Investment Plan |
$250 per Fund |
$50 per Fund |
Automatic Exchange Plan |
$1,000 per Fund |
$50 per Fund |
SEP IRA established on or before March 31, 2004 |
$50 per Fund/per participant |
$0 |
SEP IRA established after March 31, 2004 |
$1,000 per Fund/per participant |
$0 |
SIMPLE IRA* |
$50 per Fund/per participant |
$0 |
SAR-SEP IRA* |
$50 per Fund/per participant |
$0 |
403(b)(7) custodial account plan established on or before March 31, 2004 |
$50 per Fund/per participant |
$0 |
403(b)(7) custodial account plan established after March 31, 2004 |
$1,000 per Fund/per participant |
$0 |
Plan Investors held through omnibus accounts– |
|
|
Plan Level |
$0 |
$0 |
Participant Level |
$0 |
$0 |
Type of Account |
Initial
Minimum Investment |
Subsequent Minimum Investment |
Plan Investors held through non-omnibus accounts (individual participant accounts) established on or before March 31, 2004 |
$50 per Fund |
$0 |
Plan Investors held through non-omnibus accounts (individual participant accounts) established after March 31, 2004 |
$1,000 per Fund |
$0 |
Amount of Purchase |
Initial Sales Charge
as % of Public
Offering Price** |
Initial Sales Charge
as % of Net
Amount Invested |
Discount or Commission
to dealers as %
of Public Offering Price* |
Under $50,000 |
5.50% |
5.82% |
4.75% |
$50,000 but under $100,000 |
4.50% |
4.71% |
4.00% |
$100,000 but under $250,000 |
3.50% |
3.63% |
3.00% |
$250,000 but under $500,000 |
2.50% |
2.56% |
2.00% |
$500,000 but under $1,000,000 |
2.00% |
2.04% |
1.75% |
$1,000,000 + |
0.00% |
0.00%1 |
0.00%2 |
Amount of Purchase |
Initial Sales Charge
as % of Public
Offering Price** |
Initial Sales Charge
as % of Net
Amount Invested |
Discount or Commission
to dealers as %
of Public Offering Price* |
Under $100,000 |
3.75% |
3.90% |
3.25% |
$100,000 but under $250,000 |
3.25% |
3.36% |
2.75% |
$250,000 but under $500,000 |
2.25% |
2.30% |
2.00% |
$500,000 but under $1,000,000 |
1.75% |
1.78% |
1.50% |
$1,000,000 + |
0.00% |
0.00% |
0.00% |
Amount of Purchase |
Initial Sales Charge
as % of Public
Offering Price** |
Initial Sales Charge
as % of Net
Amount Invested |
Discount or Commission
to dealers as %
of Public Offering Price* |
Under $100,000 |
2.25% |
2.30% |
2.00% |
$100,000 but under $250,000 |
1.25% |
1.27% |
1.00% |
$250,000 + |
0.00%1 |
0.00%1 |
0.00%4 |
Amount of Purchase |
Initial Sales Charge
as % of Public
Offering Price** |
Initial Sales Charge
as % of Net
Amount Invested |
Discount or Commission
to dealers as %
of Public Offering Price* |
Under $100,000 |
2.25% |
2.30% |
2.00% |
$100,000 but under $250,000 |
1.25% |
1.27% |
1.00% |
$250,000 + |
0.00%1 |
0.00%1 |
0.00%5 |
Fund* |
Annual
Service Fee** |
Annual
Distribution Fee** |
Total |
PIMCO CommoditiesPLUS® Strategy, PIMCO CommodityRealReturn Strategy, PIMCO Credit Opportunities Bond, PIMCO Low Duration Credit, PIMCO RealEstateRealReturn Strategy and PIMCO TRENDS Managed Futures Strategy Funds |
0.25% |
0.75% |
1.00% |
PIMCO Municipal Bond, PIMCO National Intermediate Municipal Bond Fund, PIMCO Real Return, and PIMCO StocksPLUS® Funds |
0.25% |
0.45% |
0.70% |
PIMCO Low Duration, PIMCO Low Duration Income, PIMCO Short Duration Municipal Income, and PIMCO Short-Term Funds |
0.25% |
0.25% |
0.50% |
PIMCO Government Money Market Fund |
0.10% |
0.00% |
0.10% |
All other Funds |
0.25% |
0.65% |
0.90% |
Fund |
Annual
Service Fee* |
Annual
Distribution Fee* |
Total |
All Funds |
0.25% |
0.45% |
0.70% |
Facsimile: |
|
816.421.2861 |
|
Regular Mail: |
Overnight Delivery: |
PIMCO Funds P.O. Box 219024 Kansas City, MO 64121-9024 |
PIMCO Funds c/o SS&C Global Investor & Distribution Solutions, Inc. 430 W. 7th Street STE 219024 Kansas City, MO 64105-1407 |
Email: |
|
piprocess@dstsystems.com |
|
Fund |
Year Ended
03/31/24 |
Year Ended
03/31/23 |
Year Ended
03/31/22 |
PIMCO All Asset All Authority Fund |
$— |
$— |
$54,133 |
PIMCO All Asset Fund |
— |
— |
114,766 |
PIMCO California Municipal Bond Fund |
— |
451 |
843 |
PIMCO Climate Bond Fund |
874 |
620 |
927 |
PIMCO CommoditiesPLUS® Strategy Fund |
1,030,014 |
974,774 |
728,539 |
PIMCO CommodityRealReturn Strategy Fund® |
1,063,854 |
1,289,201 |
965,594 |
PIMCO Credit Opportunities Bond Fund |
12,296 |
11,346 |
6,131 |
PIMCO Diversified Income Fund |
38,344 |
40,745 |
21,261 |
PIMCO Dynamic Bond Fund |
103,632 |
122,966 |
135,440 |
PIMCO Emerging Markets Bond Fund |
55,274 |
79,194 |
68,565 |
PIMCO Emerging Markets Corporate Bond Fund |
1,582 |
2,052 |
1,750 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
26,693 |
1,767 |
1,566 |
PIMCO Emerging Markets Full Spectrum Bond Fund |
1,151 |
— |
— |
PIMCO Emerging Markets Local Currency and Bond Fund |
143,825 |
11,097 |
8,580 |
PIMCO ESG Income Fund |
6,942 |
3,912 |
694 |
PIMCO Extended Duration Fund |
82,575 |
71,945 |
84,253 |
PIMCO Global Advantage® Strategy Bond Fund |
14,358 |
12,722 |
14,479 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
67,791 |
47,865 |
43,555 |
PIMCO Global Core Asset Allocation Fund |
32,664 |
58,312 |
78,834 |
PIMCO GNMA and Government Securities Fund |
43,479 |
18,820 |
7,635 |
PIMCO High Yield Fund |
50,193 |
5,545 |
17 |
PIMCO High Yield Municipal Bond Fund |
3,482 |
12,980 |
20,985 |
PIMCO High Yield Spectrum Fund |
2 |
347 |
76 |
PIMCO Income Fund |
1,698,825 |
2,228,955 |
2,333,783 |
PIMCO Inflation Response Multi-Asset Fund |
400,724 |
453,060 |
313,007 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
676,218 |
680,179 |
485,491 |
PIMCO International Bond Fund (Unhedged) |
49,817 |
61,225 |
60,575 |
PIMCO Investment Grade Credit Bond Fund |
38,746 |
35,124 |
47,061 |
PIMCO Long Duration Total Return Fund |
228,023 |
212,129 |
137,709 |
PIMCO Long-Term Credit Bond Fund |
39,175 |
41,441 |
22,942 |
PIMCO Long-Term Real Return Fund |
29,143 |
33,547 |
33,101 |
PIMCO Long-Term U.S. Government Fund |
52,434 |
34,848 |
26,948 |
PIMCO Low Duration Credit Fund |
881 |
803 |
— |
PIMCO Low Duration ESG Fund |
20,071 |
19,485 |
13,169 |
PIMCO Low Duration Fund |
331,776 |
428,790 |
488,828 |
PIMCO Low Duration Fund II |
17,399 |
14,332 |
21,699 |
PIMCO Low Duration Income Fund |
117,242 |
152,248 |
51,331 |
PIMCO Low Duration Opportunities Fund |
2,817 |
5,263 |
4,154 |
PIMCO Moderate Duration Fund |
101,654 |
83,151 |
84,405 |
PIMCO Mortgage Opportunities and Bond Fund |
231,510 |
274,004 |
93,213 |
PIMCO Mortgage-Backed Securities Fund |
6,188 |
4,008 |
1,396 |
PIMCO Municipal Bond Fund |
7,771 |
8,696 |
15,416 |
PIMCO National Intermediate Municipal Bond Fund |
2,604 |
— |
157 |
PIMCO New York Municipal Bond Fund |
— |
2,787 |
4,209 |
PIMCO Preferred and Capital Securities Fund |
64,153 |
63,199 |
153,552 |
PIMCO RAE Fundamental Advantage PLUS Fund |
26,176 |
15,623 |
41,227 |
PIMCO RAE PLUS EMG Fund |
9,544 |
12,090 |
73,491 |
PIMCO RAE PLUS Fund |
33,483 |
46,303 |
57,986 |
PIMCO RAE PLUS International Fund |
4,876 |
6,141 |
64,418 |
PIMCO RAE PLUS Small Fund |
3,719 |
4,043 |
19,708 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
27,981 |
17,824 |
60,972 |
Fund |
Year Ended
03/31/24 |
Year Ended
03/31/23 |
Year Ended
03/31/22 |
PIMCO Real Return Fund |
568,388 |
729,346 |
779,496 |
PIMCO RealEstateRealReturn Strategy Fund |
104,791 |
174,443 |
183,395 |
PIMCO Short Asset Investment Fund |
43,731 |
98,873 |
119,054 |
PIMCO Short-Term Fund |
306,931 |
558,327 |
797,487 |
PIMCO StocksPLUS® Absolute Return Fund |
91,632 |
97,066 |
121,656 |
PIMCO StocksPLUS® Fund |
70,280 |
61,525 |
82,664 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
83,883 |
96,402 |
112,642 |
PIMCO StocksPLUS® International Fund (Unhedged) |
8,957 |
23,181 |
18,512 |
PIMCO StocksPLUS® Long Duration Fund |
38,225 |
44,662 |
48,939 |
PIMCO StocksPLUS® Short Fund |
29,283 |
38,911 |
23,324 |
PIMCO StocksPLUS® Small Fund |
76,867 |
88,884 |
129,889 |
PIMCO Total Return ESG Fund |
52,651 |
54,005 |
42,087 |
PIMCO Total Return Fund |
1,569,809 |
1,420,281 |
2,086,707 |
PIMCO Total Return Fund II |
24,356 |
12,132 |
15,046 |
PIMCO Total Return Fund IV |
3,989 |
5,675 |
7,787 |
PIMCO Total Return Fund V* |
5,431 |
— |
— |
PIMCO TRENDS Managed Futures Strategy Fund |
4,529,803 |
4,930,683 |
1,845,362 |
Net Underwriting
Discounts and Commissions |
Compensation on
Redemptions and Purchases |
Total Brokerage
Commissions |
$1,630,019.50 |
$785,072.34 |
$10,058,565.04 |
PIMCO All Asset Fund |
State Street Bank & Trust Co. |
$563 |
PIMCO All Asset All Authority Fund |
State Street Bank & Trust Co. |
$981 |
PIMCO California Intermediate Municipal Bond Fund |
State Street Bank & Trust Co. |
$615 |
PIMCO California Municipal Bond Fund |
State Street Bank & Trust Co. |
$791 |
PIMCO California Short Duration Municipal Income Fund |
State Street Bank & Trust Co. |
$519 |
PIMCO Climate Bond Fund |
BNP Paribas Securities Corp. |
$373 |
|
Bank of America Securities |
307 |
|
JPMorgan Chase & Co. |
299 |
|
State Street Bank & Trust Co. |
149 |
|
Deutsche Bank Securities, Inc. |
102 |
|
Morgan Stanley & Co., Inc. |
89 |
PIMCO CommoditiesPLUS® Strategy Fund |
BNP Paribas Securities Corp. |
$2,165,239 |
|
Deutsche Bank Securities, Inc. |
406,200 |
|
JPMorgan Chase & Co. |
210,392 |
|
Goldman Sachs & Co. |
55,039 |
|
Merrill Lynch & CO. INC |
51,799 |
|
Bank of America Securities |
37,468 |
|
Wells Fargo & Co. |
29,210 |
|
Morgan Stanley & Co., Inc. |
27,337 |
|
Barclays, Inc. |
13,507 |
|
Citigroup Global Markets, Inc. |
7,130 |
|
State Street Bank & Trust Co. |
459 |
PIMCO CommodityRealReturn Strategy Fund® |
BNP Paribas Securities Corp. |
$260,000 |
|
Citigroup Global Markets, Inc. |
32,057 |
|
Bank of America Securities |
31,412 |
|
JPMorgan Chase & Co. |
19,045 |
|
Deutsche Bank Securities, Inc. |
17,894 |
|
State Street Bank & Trust Co. |
7,509 |
|
Goldman Sachs & Co. |
5,196 |
|
Wells Fargo & Co. |
1,679 |
|
Merrill Lynch & CO. INC |
1,036 |
|
Morgan Stanley & Co., Inc. |
807 |
PIMCO Credit Opportunities Bond Fund |
Morgan Stanley & Co., Inc. |
$10,990 |
|
Bank of America Securities |
7,991 |
|
Wells Fargo & Co. |
7,221 |
|
JPMorgan Chase & Co. |
6,336 |
|
Deutsche Bank Securities, Inc. |
2,060 |
|
RBC Capital Markets Corp. |
1,720 |
|
HSBC Securities (USA), Inc. |
1,664 |
|
Barclays, Inc. |
1,306 |
|
Citigroup Global Markets, Inc. |
1,264 |
|
BNP Paribas Securities Corp. |
718 |
|
State Street Bank & Trust Co. |
527 |
|
Merrill Lynch & CO. INC |
435 |
|
Goldman Sachs & Co. |
371 |
PIMCO Diversified Income Fund |
Bank of America Securities |
$66,821 |
|
JPMorgan Chase & Co. |
61,436 |
|
HSBC Securities (USA), Inc. |
21,031 |
|
Morgan Stanley & Co., Inc. |
19,032 |
|
Barclays, Inc. |
17,118 |
|
Wells Fargo & Co. |
15,360 |
|
Wells Fargo & Co. |
12,595 |
|
Citigroup Global Markets, Inc. |
10,031 |
|
BNP Paribas Securities Corp. |
9,664 |
|
Deutsche Bank Securities, Inc. |
6,346 |
|
Merrill Lynch & CO. INC |
3,723 |
|
Mizuho Securities USA, Inc. |
3,168 |
|
State Street Bank & Trust Co. |
1,695 |
PIMCO Dynamic Bond Fund |
Bank of America Securities |
$150,738 |
|
BNP Paribas Securities Corp. |
104,441 |
|
JPMorgan Chase & Co. |
70,304 |
|
Goldman Sachs & Co. |
50,113 |
|
Morgan Stanley & Co., Inc. |
38,004 |
|
Deutsche Bank Securities, Inc. |
26,716 |
|
HSBC Securities (USA), Inc. |
23,903 |
|
Wells Fargo & Co. |
19,369 |
|
Barclays, Inc. |
16,234 |
|
Citigroup Global Markets, Inc. |
12,106 |
|
Merrill Lynch & CO. INC |
7,238 |
|
State Street Bank & Trust Co. |
4,347 |
|
Mizuho Securities USA, Inc. |
3,472 |
PIMCO Emerging Markets Bond Fund |
Barclays, Inc. |
$22,233 |
|
JPMorgan Chase & Co. |
21,335 |
|
BNP Paribas Securities Corp. |
16,924 |
|
Deutsche Bank Securities, Inc. |
16,485 |
|
Morgan Stanley & Co., Inc. |
11,204 |
|
Bank of America Securities |
4,862 |
|
HSBC Securities (USA), Inc. |
3,192 |
|
Citigroup Global Markets, Inc. |
2,524 |
|
State Street Bank & Trust Co. |
900 |
|
Goldman Sachs & Co. |
489 |
|
Wells Fargo & Co. |
172 |
PIMCO Emerging Markets Corporate Bond Fund |
State Street Bank & Trust Co. |
$680 |
|
Wells Fargo & Co. |
294 |
|
Citigroup Global Markets, Inc. |
246 |
|
BNP Paribas Securities Corp. |
205 |
|
Bank of America Securities |
16 |
PIMCO Emerging Markets Currency and Short-Term Investments Fund |
State Street Bank & Trust Co. |
$5,107 |
|
Bank of America Securities |
2,524 |
|
JPMorgan Chase & Co. |
1,671 |
|
Citigroup Global Markets, Inc. |
635 |
|
Morgan Stanley & Co., Inc. |
418 |
|
Goldman Sachs & Co. |
156 |
PIMCO Emerging Markets Full Spectrum Bond Fund |
State Street Bank & Trust Co. |
$553 |
PIMCO Emerging Markets Local Currency and Bond Fund |
JPMorgan Chase & Co. |
$15,731 |
|
Citigroup Global Markets, Inc. |
8,673 |
|
Bank of America Securities |
8,313 |
|
State Street Bank & Trust Co. |
4,190 |
|
Goldman Sachs & Co. |
3,834 |
|
Morgan Stanley & Co., Inc. |
3,050 |
|
Wells Fargo & Co. |
2,236 |
|
Merrill Lynch & CO. INC |
1,826 |
PIMCO ESG Income Fund |
Barclays, Inc. |
$6,478 |
|
Bank of America Securities |
5,348 |
|
JPMorgan Chase & Co. |
4,872 |
|
Citigroup Global Markets, Inc. |
2,984 |
|
Morgan Stanley & Co., Inc. |
1,670 |
|
Merrill Lynch & CO. INC |
1,414 |
|
BNP Paribas Securities Corp. |
1,357 |
|
HSBC Securities (USA), Inc. |
1,218 |
|
Goldman Sachs & Co. |
1,118 |
|
Deutsche Bank Securities, Inc. |
864 |
|
Wells Fargo & Co. |
92 |
PIMCO Extended Duration Fund |
Bank of America Securities |
$8,184 |
|
Goldman Sachs & Co. |
4,085 |
|
JPMorgan Chase & Co. |
3,690 |
|
Citigroup Global Markets, Inc. |
2,271 |
|
State Street Bank & Trust Co. |
1,350 |
|
Barclays, Inc. |
1,243 |
PIMCO Global Advantage® Strategy Bond Fund |
JPMorgan Chase & Co. |
$10,471 |
|
Morgan Stanley & Co., Inc. |
4,411 |
|
Goldman Sachs & Co. |
3,859 |
|
HSBC Securities (USA), Inc. |
3,520 |
|
Deutsche Bank Securities, Inc. |
3,079 |
|
Bank of America Securities |
2,625 |
|
Wells Fargo & Co. |
1,714 |
|
RBC Capital Markets Corp. |
800 |
|
Barclays, Inc. |
791 |
|
BNP Paribas Securities Corp. |
769 |
|
Merrill Lynch & CO. INC |
583 |
|
Citigroup Global Markets, Inc. |
518 |
|
State Street Bank & Trust Co. |
199 |
PIMCO Global Bond Opportunities Fund (U.S. Dollar-Hedged) |
JPMorgan Chase & Co. |
$26,581 |
|
Morgan Stanley & Co., Inc. |
13,902 |
|
Goldman Sachs & Co. |
10,327 |
|
Deutsche Bank Securities, Inc. |
10,152 |
|
Citigroup Global Markets, Inc. |
9,238 |
|
Wells Fargo & Co. |
8,840 |
|
HSBC Securities (USA), Inc. |
7,028 |
|
Bank of America Securities |
7,005 |
|
RBC Capital Markets Corp. |
4,686 |
|
Merrill Lynch & CO. INC |
3,257 |
|
Barclays, Inc. |
1,636 |
PIMCO Global Core Asset Allocation Fund |
Citigroup Global Markets, Inc. |
$21,144 |
|
Bank of America Securities |
1,280 |
|
JPMorgan Chase & Co. |
1,050 |
|
State Street Bank & Trust Co. |
688 |
PIMCO GNMA and Government Securities Fund |
JPMorgan Chase & Co. |
$7,081 |
|
State Street Bank & Trust Co. |
2,097 |
PIMCO Government Money Market Fund |
Bank of America Securities |
$950,000 |
|
BNP Paribas Securities Corp. |
950,000 |
|
JPMorgan Chase & Co. |
700,000 |
|
Citigroup Global Markets, Inc. |
551,200 |
|
State Street Bank & Trust Co. |
72,902 |
PIMCO High Yield Fund |
JPMorgan Chase & Co. |
$22,757 |
|
State Street Bank & Trust Co. |
9,819 |
|
Wells Fargo & Co. |
9,092 |
|
BNP Paribas Securities Corp. |
8,382 |
PIMCO High Yield Municipal Bond Fund |
State Street Bank & Trust Co. |
$20,971 |
PIMCO High Yield Spectrum Fund |
JPMorgan Chase & Co. |
$2,727 |
|
Barclays, Inc. |
700 |
|
State Street Bank & Trust Co. |
460 |
|
Wells Fargo & Co. |
431 |
PIMCO Income Fund |
Citigroup Global Markets, Inc. |
$10,367,887 |
|
Goldman Sachs & Co. |
4,856,199 |
|
Bank of America Securities |
2,350,640 |
|
JPMorgan Chase & Co. |
2,059,506 |
|
Barclays, Inc. |
956,925 |
|
Morgan Stanley & Co., Inc. |
750,843 |
|
Deutsche Bank Securities, Inc. |
546,390 |
|
HSBC Securities (USA), Inc. |
517,109 |
|
Merrill Lynch & CO. INC |
286,784 |
|
Wells Fargo & Co. |
105,970 |
|
BNP Paribas Securities Corp. |
93,999 |
|
State Street Bank & Trust Co. |
17,295 |
PIMCO Inflation Response Multi-Asset Fund |
Bank of America Securities |
$55,985 |
|
BNP Paribas Securities Corp. |
48,400 |
|
Deutsche Bank Securities, Inc. |
7,476 |
|
Citigroup Global Markets, Inc. |
3,094 |
|
Morgan Stanley & Co., Inc. |
2,876 |
|
Goldman Sachs & Co. |
2,844 |
|
JPMorgan Chase & Co. |
2,650 |
|
State Street Bank & Trust Co. |
1,204 |
PIMCO International Bond Fund (U.S. Dollar-Hedged) |
JPMorgan Chase & Co. |
$337,981 |
|
Morgan Stanley & Co., Inc. |
194,073 |
|
Deutsche Bank Securities, Inc. |
158,960 |
|
Wells Fargo & Co. |
114,882 |
|
Bank of America Securities |
102,497 |
|
HSBC Securities (USA), Inc. |
95,412 |
|
Citigroup Global Markets, Inc. |
90,781 |
|
Goldman Sachs & Co. |
67,570 |
|
Barclays, Inc. |
44,904 |
|
BNP Paribas Securities Corp. |
27,941 |
|
State Street Bank & Trust Co. |
4,840 |
|
Merrill Lynch & CO. INC |
627 |
PIMCO International Bond Fund (Unhedged) |
JPMorgan Chase & Co. |
$42,631 |
|
Morgan Stanley & Co., Inc. |
9,862 |
|
HSBC Securities (USA), Inc. |
9,225 |
|
Citigroup Global Markets, Inc. |
9,039 |
|
Deutsche Bank Securities, Inc. |
8,819 |
|
Bank of America Securities |
5,468 |
|
Goldman Sachs & Co. |
5,038 |
|
Wells Fargo & Co. |
3,396 |
|
RBC Capital Markets Corp. |
2,099 |
|
Barclays, Inc. |
471 |
|
State Street Bank & Trust Co. |
217 |
|
Merrill Lynch & CO. INC |
189 |
PIMCO Investment Grade Credit Bond Fund |
JPMorgan Chase & Co. |
$366,583 |
|
Bank of America Securities |
356,622 |
|
Wells Fargo & Co. |
257,833 |
|
Morgan Stanley & Co., Inc. |
236,968 |
|
Goldman Sachs & Co. |
201,343 |
|
HSBC Securities (USA), Inc. |
165,988 |
|
Citigroup Global Markets, Inc. |
159,090 |
|
Barclays, Inc. |
73,691 |
|
Deutsche Bank Securities, Inc. |
58,824 |
|
BNP Paribas Securities Corp. |
34,096 |
|
State Street Bank & Trust Co. |
30,001 |
|
Mizuho Securities USA, Inc. |
26,800 |
|
Merrill Lynch & CO. INC |
10,059 |
PIMCO Long Duration Total Return Fund |
Bank of America Securities |
$46,414 |
|
JPMorgan Chase & Co. |
21,616 |
|
Goldman Sachs & Co. |
18,867 |
|
Barclays, Inc. |
15,596 |
|
HSBC Securities (USA), Inc. |
13,160 |
|
Citigroup Global Markets, Inc. |
12,020 |
|
Morgan Stanley & Co., Inc. |
9,352 |
|
Wells Fargo & Co. |
8,043 |
|
Mizuho Securities USA, Inc. |
7,933 |
|
Merrill Lynch & CO. INC |
6,804 |
|
State Street Bank & Trust Co. |
3,005 |
|
Deutsche Bank Securities, Inc. |
472 |
PIMCO Long-Term Credit Bond Fund |
JPMorgan Chase & Co. |
$62,456 |
|
Wells Fargo & Co. |
54,371 |
|
Bank of America Securities |
52,598 |
|
HSBC Securities (USA), Inc. |
23,811 |
|
Citigroup Global Markets, Inc. |
19,430 |
|
Goldman Sachs & Co. |
18,569 |
|
Morgan Stanley & Co., Inc. |
15,665 |
|
BNP Paribas Securities Corp. |
11,256 |
|
Barclays, Inc. |
8,969 |
|
State Street Bank & Trust Co. |
8,122 |
|
Mizuho Securities USA, Inc. |
6,339 |
|
Deutsche Bank Securities, Inc. |
6,205 |
|
Merrill Lynch & CO. INC |
3 |
PIMCO Low Duration Credit Fund |
State Street Bank & Trust Co. |
$202 |
PIMCO Long-Term Real Return Fund |
Bank of America Securities |
$5,073 |
|
JPMorgan Chase & Co. |
4,219 |
|
Wells Fargo & Co. |
853 |
|
Citigroup Global Markets, Inc. |
818 |
|
State Street Bank & Trust Co. |
572 |
|
Goldman Sachs & Co. |
290 |
|
Morgan Stanley & Co., Inc. |
281 |
|
Merrill Lynch & CO. INC |
37 |
PIMCO Long-Term U.S. Government Fund |
Citigroup Global Markets, Inc. |
$4,826 |
|
Bank of America Securities |
2,930 |
|
State Street Bank & Trust Co. |
2,265 |
|
Morgan Stanley & Co., Inc. |
1,906 |
|
JPMorgan Chase & Co. |
709 |
|
Merrill Lynch & CO. INC |
497 |
|
Deutsche Bank Securities, Inc. |
277 |
PIMCO Low Duration ESG Fund |
Citigroup Global Markets, Inc. |
$21,522 |
|
JPMorgan Chase & Co. |
5,544 |
|
Morgan Stanley & Co., Inc. |
5,459 |
|
Bank of America Securities |
3,853 |
|
Barclays, Inc. |
3,765 |
|
Goldman Sachs & Co. |
885 |
|
State Street Bank & Trust Co. |
562 |
PIMCO Low Duration Fund |
Bank of America Securities |
$610,678 |
|
Citigroup Global Markets, Inc. |
95,619 |
|
Goldman Sachs & Co. |
88,215 |
|
Morgan Stanley & Co., Inc. |
64,316 |
|
Deutsche Bank Securities, Inc. |
49,275 |
|
JPMorgan Chase & Co. |
46,428 |
|
Barclays, Inc. |
21,695 |
|
HSBC Securities (USA), Inc. |
10,163 |
|
Wells Fargo & Co. |
8,055 |
|
State Street Bank & Trust Co. |
3,569 |
|
BNP Paribas Securities Corp. |
322 |
PIMCO Low Duration Fund II |
Citigroup Global Markets, Inc. |
$84,768 |
|
Bank of America Securities |
56,384 |
|
Morgan Stanley & Co., Inc. |
4,346 |
|
Goldman Sachs & Co. |
4,254 |
|
Wells Fargo & Co. |
2,978 |
|
Barclays, Inc. |
2,426 |
|
JPMorgan Chase & Co. |
2,051 |
|
State Street Bank & Trust Co. |
1,052 |
|
Merrill Lynch & CO. INC |
46 |
PIMCO Low Duration Income Fund |
Goldman Sachs & Co. |
$528,999 |
|
Citigroup Global Markets, Inc. |
342,157 |
|
JPMorgan Chase & Co. |
226,191 |
|
Bank of America Securities |
195,824 |
|
Morgan Stanley & Co., Inc. |
86,765 |
|
Barclays, Inc. |
50,511 |
|
Deutsche Bank Securities, Inc. |
44,332 |
|
HSBC Securities (USA), Inc. |
32,311 |
|
Wells Fargo & Co. |
29,453 |
|
BNP Paribas Securities Corp. |
9,825 |
|
Merrill Lynch & CO. INC |
9,085 |
PIMCO Low Duration Opportunities Fund |
JPMorgan Chase & Co. |
$24,058 |
|
HSBC Securities (USA), Inc. |
842 |
|
Barclays, Inc. |
794 |
|
Deutsche Bank Securities, Inc. |
761 |
|
BNP Paribas Securities Corp. |
735 |
|
Goldman Sachs & Co. |
702 |
|
Wells Fargo & Co. |
668 |
|
Bank of America Securities |
614 |
|
State Street Bank & Trust Co. |
459 |
|
Morgan Stanley & Co., Inc. |
435 |
|
Mizuho Securities USA, Inc. |
183 |
PIMCO Moderate Duration Fund |
Goldman Sachs & Co. |
$15,406 |
|
Bank of America Securities |
14,578 |
|
JPMorgan Chase & Co. |
14,056 |
|
Citigroup Global Markets, Inc. |
9,002 |
|
Wells Fargo & Co. |
7,817 |
|
Deutsche Bank Securities, Inc. |
7,512 |
|
Morgan Stanley & Co., Inc. |
6,380 |
|
Barclays, Inc. |
4,493 |
|
HSBC Securities (USA), Inc. |
4,415 |
|
State Street Bank & Trust Co. |
3,651 |
|
Mizuho Securities USA, Inc. |
3,381 |
PIMCO Mortgage Opportunities and Bond Fund |
JPMorgan Chase & Co. |
$362,996 |
|
Goldman Sachs & Co. |
291,212 |
|
Bank of America Securities |
277,326 |
|
Morgan Stanley & Co., Inc. |
111,862 |
|
Citigroup Global Markets, Inc. |
60,603 |
|
Merrill Lynch & CO. INC |
28,717 |
|
Wells Fargo & Co. |
21,786 |
|
Barclays, Inc. |
18,582 |
|
Deutsche Bank Securities, Inc. |
18,460 |
|
State Street Bank & Trust Co. |
758 |
|
BNP Paribas Securities Corp. |
264 |
PIMCO Mortgage-Backed Securities Fund |
Bank of America Securities |
$2,424 |
|
Citigroup Global Markets, Inc. |
1,739 |
|
JPMorgan Chase & Co. |
1,723 |
|
Barclays, Inc. |
1,677 |
|
Goldman Sachs & Co. |
1,651 |
|
Morgan Stanley & Co., Inc. |
350 |
|
State Street Bank & Trust Co. |
193 |
PIMCO Municipal Bond Fund |
BNP Paribas Securities Corp. |
$215,500 |
|
State Street Bank & Trust Co. |
14,958 |
|
Citigroup Global Markets, Inc. |
8,800 |
PIMCO National Intermediate Municipal Bond Fund |
Deutsche Bank Securities, Inc. |
$10,000 |
|
State Street Bank & Trust Co. |
3,823 |
PIMCO New York Municipal Bond Fund |
State Street Bank & Trust Co. |
$337 |
PIMCO Preferred and Capital Securities Fund |
JPMorgan Chase & Co. |
$48,137 |
|
Bank of America Securities |
35,696 |
|
Wells Fargo & Co. |
26,713 |
|
BNP Paribas Securities Corp. |
22,615 |
|
State Street Bank & Trust Co. |
19,604 |
|
Goldman Sachs & Co. |
19,136 |
|
Citigroup Global Markets, Inc. |
19,028 |
|
Morgan Stanley & Co., Inc. |
16,784 |
|
HSBC Securities (USA), Inc. |
12,614 |
|
Barclays, Inc. |
10,378 |
|
Deutsche Bank Securities, Inc. |
5,159 |
PIMCO RAE Fundamental Advantage PLUS Fund |
Bank of America Securities |
$92,170 |
|
BNP Paribas Securities Corp. |
84,881 |
|
JPMorgan Chase & Co. |
33,017 |
|
Citigroup Global Markets, Inc. |
20,293 |
|
Deutsche Bank Securities, Inc. |
12,621 |
|
Goldman Sachs & Co. |
10,824 |
|
Morgan Stanley & Co., Inc. |
4,056 |
|
Wells Fargo & Co. |
3,263 |
|
HSBC Securities (USA), Inc. |
1,772 |
|
RBC Capital Markets Corp. |
1,665 |
|
Merrill Lynch & CO. INC |
1,270 |
|
Barclays, Inc. |
1,214 |
|
State Street Bank & Trust Co. |
539 |
PIMCO RAE PLUS EMG Fund |
Citigroup Global Markets, Inc. |
$26,358 |
|
Goldman Sachs & Co. |
10,074 |
|
JPMorgan Chase & Co. |
8,953 |
|
Bank of America Securities |
4,504 |
|
Morgan Stanley & Co., Inc. |
4,416 |
|
Wells Fargo & Co. |
1,510 |
|
State Street Bank & Trust Co. |
667 |
|
Barclays, Inc. |
516 |
|
HSBC Securities (USA), Inc. |
202 |
|
Merrill Lynch & CO. INC |
61 |
PIMCO RAE PLUS Fund |
Bank of America Securities |
$193,177 |
|
JPMorgan Chase & Co. |
52,193 |
|
Citigroup Global Markets, Inc. |
19,381 |
|
Deutsche Bank Securities, Inc. |
17,382 |
|
Goldman Sachs & Co. |
15,628 |
|
Morgan Stanley & Co., Inc. |
14,121 |
|
Wells Fargo & Co. |
6,077 |
|
RBC Capital Markets Corp. |
2,931 |
|
Barclays, Inc. |
2,480 |
|
HSBC Securities (USA), Inc. |
2,223 |
|
State Street Bank & Trust Co. |
1,453 |
|
Merrill Lynch & CO. INC |
115 |
PIMCO RAE PLUS International Fund |
Bank of America Securities |
$30,456 |
|
JPMorgan Chase & Co. |
7,657 |
|
Goldman Sachs & Co. |
4,637 |
|
Citigroup Global Markets, Inc. |
3,314 |
|
Morgan Stanley & Co., Inc. |
2,052 |
|
State Street Bank & Trust Co. |
1,294 |
|
Merrill Lynch & CO. INC |
1,083 |
|
Deutsche Bank Securities, Inc. |
772 |
|
Wells Fargo & Co. |
689 |
|
RBC Capital Markets Corp. |
446 |
|
Barclays, Inc. |
413 |
|
HSBC Securities (USA), Inc. |
202 |
PIMCO RAE PLUS Small Fund |
Deutsche Bank Securities, Inc. |
$23,092 |
|
JPMorgan Chase & Co. |
5,878 |
|
Goldman Sachs & Co. |
5,107 |
|
Morgan Stanley & Co., Inc. |
4,477 |
|
Citigroup Global Markets, Inc. |
4,362 |
|
Bank of America Securities |
3,845 |
|
Wells Fargo & Co. |
954 |
|
Merrill Lynch & CO. INC |
613 |
|
State Street Bank & Trust Co. |
530 |
|
Barclays, Inc. |
413 |
|
RBC Capital Markets Corp. |
373 |
|
HSBC Securities (USA), Inc. |
202 |
PIMCO RAE Worldwide Long/Short PLUS Fund |
Bank of America Securities |
$68,214 |
|
BNP Paribas Securities Corp. |
60,300 |
|
JPMorgan Chase & Co. |
20,409 |
|
Deutsche Bank Securities, Inc. |
17,590 |
|
Goldman Sachs & Co. |
10,260 |
|
Morgan Stanley & Co., Inc. |
9,727 |
|
Citigroup Global Markets, Inc. |
7,066 |
|
Wells Fargo & Co. |
4,251 |
|
HSBC Securities (USA), Inc. |
4,029 |
|
Mizuho Securities USA, Inc. |
1,622 |
|
RBC Capital Markets Corp. |
1,397 |
|
Merrill Lynch & CO. INC |
1,096 |
|
Barclays, Inc. |
985 |
|
State Street Bank & Trust Co. |
561 |
PIMCO Real Return Fund |
Bank of America Securities |
$48,976 |
|
JPMorgan Chase & Co. |
27,207 |
|
Citigroup Global Markets, Inc. |
20,563 |
|
Goldman Sachs & Co. |
8,204 |
|
Morgan Stanley & Co., Inc. |
7,030 |
|
Merrill Lynch & CO. INC |
4,419 |
|
State Street Bank & Trust Co. |
3,467 |
|
Wells Fargo & Co. |
1,831 |
PIMCO RealEstateRealReturn Strategy Fund |
Bank of America Securities |
$8,535 |
|
Citigroup Global Markets, Inc. |
4,168 |
|
Goldman Sachs & Co. |
3,946 |
|
Merrill Lynch & CO. INC |
1,615 |
|
HSBC Securities (USA), Inc. |
1,424 |
|
State Street Bank & Trust Co. |
635 |
|
Wells Fargo & Co. |
557 |
|
JPMorgan Chase & Co. |
552 |
PIMCO Short Asset Investment Fund |
Citigroup Global Markets, Inc. |
$92,779 |
|
JPMorgan Chase & Co. |
45,397 |
|
Goldman Sachs & Co. |
31,980 |
|
Mizuho Securities USA, Inc. |
29,749 |
|
Bank of America Securities |
29,542 |
|
Barclays, Inc. |
29,146 |
|
Deutsche Bank Securities, Inc. |
28,875 |
|
Morgan Stanley & Co., Inc. |
25,618 |
|
Wells Fargo & Co. |
25,063 |
|
State Street Bank & Trust Co. |
3,047 |
|
RBC Capital Markets Corp. |
1,070 |
PIMCO Short Duration Municipal Income Fund |
State Street Bank & Trust Co. |
$640 |
PIMCO Short-Term Fund |
Bank of America Securities |
$181,397 |
|
Morgan Stanley & Co., Inc. |
165,964 |
|
Barclays, Inc. |
163,292 |
|
Goldman Sachs & Co. |
161,746 |
|
JPMorgan Chase & Co. |
159,006 |
|
Citigroup Global Markets, Inc. |
158,407 |
|
Wells Fargo & Co. |
151,488 |
|
Deutsche Bank Securities, Inc. |
119,318 |
|
HSBC Securities (USA), Inc. |
88,524 |
|
BNP Paribas Securities Corp. |
76,733 |
|
State Street Bank & Trust Co. |
36,302 |
|
Mizuho Securities USA, Inc. |
28,950 |
|
RBC Capital Markets Corp. |
13,106 |
|
Merrill Lynch & CO. INC |
1,179 |
PIMCO StocksPLUS® Absolute Return Fund |
Bank of America Securities |
$582,093
|
|
Citigroup Global Markets, Inc. |
86,134 |
|
Merrill Lynch & CO. INC |
80,828 |
|
JPMorgan Chase & Co. |
57,719 |
|
Morgan Stanley & Co., Inc. |
28,323 |
|
Goldman Sachs & Co. |
20,937 |
|
Wells Fargo & Co. |
17,945 |
|
BNP Paribas Securities Corp. |
8,115 |
|
Deutsche Bank Securities, Inc. |
8,109 |
|
RBC Capital Markets Corp. |
5,042 |
|
Barclays, Inc. |
2,780 |
|
HSBC Securities (USA), Inc. |
2,528 |
|
State Street Bank & Trust Co. |
495 |
PIMCO StocksPLUS® Fund |
Bank of America Securities |
$612,241 |
|
JPMorgan Chase & Co. |
228,060 |
|
Citigroup Global Markets, Inc. |
69,349 |
|
Goldman Sachs & Co. |
35,254 |
|
Morgan Stanley & Co., Inc. |
23,287 |
|
Wells Fargo & Co. |
19,225 |
|
RBC Capital Markets Corp. |
6,434 |
|
HSBC Securities (USA), Inc. |
13,273 |
|
RBC Capital Markets Corp. |
6,434 |
|
Barclays, Inc. |
5,710 |
|
Deutsche Bank Securities, Inc. |
4,807 |
|
BNP Paribas Securities Corp. |
1,236 |
|
State Street Bank & Trust Co. |
871 |
|
Merrill Lynch & CO. INC |
548 |
PIMCO StocksPLUS® International Fund (U.S. Dollar-Hedged) |
Barclays, Inc. |
$185,803 |
|
Merrill Lynch & CO. INC |
157,229 |
|
Bank of America Securities |
118,170 |
|
Citigroup Global Markets, Inc. |
79,078 |
|
JPMorgan Chase & Co. |
73,582 |
|
Goldman Sachs & Co. |
44,690 |
|
Morgan Stanley & Co., Inc. |
22,921 |
|
Wells Fargo & Co. |
11,679 |
|
RBC Capital Markets Corp. |
6,545 |
|
BNP Paribas Securities Corp. |
6,412 |
|
HSBC Securities (USA), Inc. |
3,382 |
|
Deutsche Bank Securities, Inc. |
252 |
PIMCO StocksPLUS® International Fund (Unhedged) |
JPMorgan Chase & Co. |
$33,822 |
|
Citigroup Global Markets, Inc. |
24,639 |
|
Bank of America Securities |
8,988 |
|
Goldman Sachs & Co. |
4,335 |
|
Morgan Stanley & Co., Inc. |
2,933 |
|
Merrill Lynch & CO. INC |
1,117 |
|
Wells Fargo & Co. |
902 |
|
State Street Bank & Trust Co. |
662 |
|
RBC Capital Markets Corp. |
546 |
|
Barclays, Inc. |
364 |
|
Deutsche Bank Securities, Inc. |
222 |
|
HSBC Securities (USA), Inc. |
202 |
PIMCO StocksPLUS® Long Duration Fund |
Bank of America Securities |
$8,677 |
|
Deutsche Bank Securities, Inc. |
7,665 |
|
JPMorgan Chase & Co. |
7,305 |
|
Morgan Stanley & Co., Inc. |
7,117 |
|
Barclays, Inc. |
6,811 |
|
HSBC Securities (USA), Inc. |
6,215 |
|
Wells Fargo & Co. |
5,963 |
|
Goldman Sachs & Co. |
3,453 |
|
Mizuho Securities USA, Inc. |
1,558 |
|
BNP Paribas Securities Corp. |
1,351 |
|
Citigroup Global Markets, Inc. |
954 |
|
State Street Bank & Trust Co. |
570 |
|
Merrill Lynch & CO. INC |
251 |
PIMCO StocksPLUS® Short Fund |
Citigroup Global Markets, Inc. |
$6,869 |
|
JPMorgan Chase & Co. |
4,458 |
|
Goldman Sachs & Co. |
3,872 |
|
Bank of America Securities |
2,821 |
|
Wells Fargo & Co. |
1,483 |
|
Morgan Stanley & Co., Inc. |
1,427 |
|
Merrill Lynch & CO. INC |
1,064 |
|
State Street Bank & Trust Co. |
1,055 |
|
Deutsche Bank Securities, Inc. |
780 |
|
Barclays, Inc. |
413 |
PIMCO StocksPLUS® Small Fund |
Bank of America Securities |
$109,021 |
|
BNP Paribas Securities Corp. |
84,100 |
|
Citigroup Global Markets, Inc. |
49,131 |
|
JPMorgan Chase & Co. |
19,355 |
|
Morgan Stanley & Co., Inc. |
19,068 |
|
Goldman Sachs & Co. |
17,210 |
|
Deutsche Bank Securities, Inc. |
7,645 |
|
Wells Fargo & Co. |
7,330 |
|
Merrill Lynch & CO. INC |
2,775 |
|
RBC Capital Markets Corp. |
2,495 |
|
HSBC Securities (USA), Inc. |
1,850 |
|
Barclays, Inc. |
1,508 |
|
State Street Bank & Trust Co. |
949 |
PIMCO Total Return ESG Fund |
JPMorgan Chase & Co. |
$32,689 |
|
Citigroup Global Markets, Inc. |
28,208 |
|
Bank of America Securities |
20,647 |
|
BNP Paribas Securities Corp. |
9,215 |
|
Morgan Stanley & Co., Inc. |
6,999 |
|
Mizuho Securities USA, Inc. |
5,915 |
|
Goldman Sachs & Co. |
5,234 |
|
State Street Bank & Trust Co. |
4,877 |
|
HSBC Securities (USA), Inc. |
3,908 |
PIMCO Total Return Fund |
JPMorgan Chase & Co. |
$1,027,126 |
|
Goldman Sachs & Co. |
846,923 |
|
Bank of America Securities |
716,297 |
|
Deutsche Bank Securities, Inc. |
534,948 |
|
Citigroup Global Markets, Inc. |
488,909 |
|
Morgan Stanley & Co., Inc. |
429,802 |
|
Barclays, Inc. |
393,741 |
|
Wells Fargo & Co. |
313,778 |
|
BNP Paribas Securities Corp. |
185,400 |
|
HSBC Securities (USA), Inc. |
178,196 |
|
Mizuho Securities USA, Inc. |
94,075 |
|
Merrill Lynch & CO. INC |
75,392 |
|
State Street Bank & Trust Co. |
20,286 |
|
RBC Capital Markets Corp. |
19,537 |
PIMCO Total Return Fund II |
JPMorgan Chase & Co. |
$8,307 |
|
Morgan Stanley & Co., Inc. |
6,899 |
|
Goldman Sachs & Co. |
6,562 |
|
State Street Bank & Trust Co. |
5,032 |
|
Wells Fargo & Co. |
3,822 |
|
Citigroup Global Markets, Inc. |
3,018 |
|
Bank of America Securities |
2,958 |
|
Barclays, Inc. |
2,167 |
|
Deutsche Bank Securities, Inc. |
1,848 |
PIMCO Total Return Fund IV |
Morgan Stanley & Co., Inc. |
$8,233 |
|
JPMorgan Chase & Co. |
6,640 |
|
Bank of America Securities |
4,285 |
|
Wells Fargo & Co. |
2,931 |
|
Goldman Sachs & Co. |
2,789 |
|
Deutsche Bank Securities, Inc. |
1,904 |
|
Citigroup Global Markets, Inc. |
1,820 |
|
Barclays, Inc. |
1,577 |
|
HSBC Securities (USA), Inc. |
1,064 |
|
RBC Capital Markets Corp. |
799 |
|
State Street Bank & Trust Co. |
558 |
|
BNP Paribas Securities Corp. |
501 |
|
Merrill Lynch & CO. INC |
231 |
PIMCO Total Return Fund V |
BNP Paribas Securities Corp. |
$18,337 |
|
Bank of America Securities |
2,403 |
|
JPMorgan Chase & Co. |
2,351 |
|
HSBC Securities (USA), Inc. |
1,917 |
|
Citigroup Global Markets, Inc. |
1,293 |
|
Goldman Sachs & Co. |
742 |
|
Morgan Stanley & Co., Inc. |
535 |
|
Mizuho Securities USA, Inc. |
204 |
PIMCO TRENDS Managed Futures Strategy Fund |
Merrill Lynch & CO. INC |
$243,623 |
|
Deutsche Bank Securities, Inc. |
101,308 |
|
Bank of America Securities |
71,823 |
|
Morgan Stanley & Co., Inc. |
22,027 |
|
JPMorgan Chase & Co. |
15,369 |
|
Wells Fargo & Co. |
6,015 |
|
Goldman Sachs & Co. |
2,001 |
|
State Street Bank & Trust Co. |
964 |
|
HSBC Securities (USA), Inc. |
585 |
Total Return for Periods Ended March 31, 2024†
| |||||||
Fund |
Class* |
1
Year |
5
Years |
10
Years |
Since Inception
of Fund
(Annualized) |
Inception Date of Fund |
Inception Date of Class |
PIMCO Global Bond Opportunities (U.S. Dollar-Hedged) |
Institutional Return Before Taxes |
6.16% |
2.59% |
3.25% |
5.63% |
10/2/1995 |
2/25/1998 |
Institutional Return After Taxes on Distributions† |
4.96% |
1.08% |
1.63% |
3.46% |
|
| |
Institutional Return After Taxes on Distributions and Sale of Fund Shares† |
3.62% |
1.39% |
1.81% |
3.49% |
|
| |
I-2 Return Before Taxes |
6.05% |
2.48% |
3.15% |
5.48% |
|
4/30/2008 | |
Class A Return Before Taxes |
1.83% |
1.45% |
2.50% |
5.09% |
|
10/2/1995 | |
Class A Return After Taxes on Distributions† |
0.82% |
0.10% |
1.04% |
3.08% |
|
| |
Class A Return After Taxes on Distributions and Sale of Fund Shares† |
1.06% |
0.59% |
1.29% |
3.13% |
|
| |
Class C Return Before Taxes |
4.01% |
1.46% |
2.13% |
4.45% |
|
10/2/1995 |
Total Return for Periods Ended March 31, 2024 (with no adjustment for operating expenses of the Institutional Class for periods prior to its Inception Date) | |||||
Fund |
Class |
1 Year |
5 Years |
10 Years |
Since Inception of Fund (Annualized) |
PIMCO Global Bond Opportunities (U.S. Dollar-Hedged) |
Institutional |
6.16% |
2.59% |
3.25% |
5.60% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES BENEFICIALLY OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
3,853,199.70 |
|
7.56% |
PIMCO ALL ASSET A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,541,342.21 |
|
6.95% |
PIMCO ALL ASSET A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,181,291.32 |
|
8.21% |
PIMCO ALL ASSET A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
6,390,012.18 |
|
12.54% |
PIMCO ALL ASSET A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
7,436,427.58 |
|
14.60% |
PIMCO ALL ASSET A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,928,655.97 |
|
9.67%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
2,822,894.36 |
|
5.54% |
PIMCO ALL ASSET A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
5,541,352.93 |
|
10.88% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
2,809,874.78 |
|
7.71% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,485,042.65 |
|
6.82% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,763,613.75 |
|
10.32% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,102,422.09 |
|
11.25% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
4,410,871.47 |
|
12.10% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,641,348.39 |
|
9.99%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
2,277,659.87 |
|
6.25% |
PIMCO ALL ASSET
ALL AUTHORITY A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
3,572,656.61 |
|
9.80% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
229,785.16 |
|
5.38% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
313,935.48 |
|
7.35% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
252,794.55 |
|
5.92% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,156,867.49 |
* |
27.08% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
351,235.31 |
|
8.22% |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
237,187.25 |
|
5.55%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CA
INTERMEDIATE
MUNI BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
986,509.48 |
|
23.10% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
186,641.65 |
|
8.91% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
149,204.15 |
|
7.12% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
549,080.79 |
* |
26.21% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
169,061.15 |
|
8.07% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
227,566.12 |
|
10.86% |
PIMCO CA SHORT
DURATION MUNI
INC A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
452,783.48 |
|
21.61% |
PIMCO CALIFORNIA
MUNICIPAL BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
911,584.01 |
|
11.63% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CALIFORNIA
MUNICIPAL BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,999,660.76 |
* |
38.28% |
PIMCO CALIFORNIA
MUNICIPAL BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
560,298.78 |
|
7.15% |
PIMCO CALIFORNIA
MUNICIPAL BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
399,539.70 |
|
5.10% |
PIMCO CALIFORNIA
MUNICIPAL BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
2,187,157.65 |
* |
27.91% |
PIMCO CLIMATE
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
72,129.50 |
* |
41.94% |
PIMCO CLIMATE
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
55,078.17 |
* |
32.03% |
PIMCO CLIMATE
BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
17,928.00 |
|
10.42% |
PIMCO CLIMATE
BOND A |
A |
|
UMB BANK NA CUST IRA
FBO RONALD J MCALPIN 325
S CHANDLER AVE,
ELMHURST IL 60126-3559 |
10,812.78 |
|
6.29% |
PIMCO
COMMODITIESPLUS
STRAT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,818,238.56 |
|
9.64%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITIESPLUS
STRAT A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,766,844.94 |
|
19.98% |
PIMCO
COMMODITIESPLUS
STRAT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
6,718,030.85 |
* |
35.63% |
PIMCO
COMMODITIESPLUS
STRAT A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,351,146.55 |
|
7.17% |
PIMCO
COMMODITIESPLUS
STRAT A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,978,523.42 |
|
10.49% |
PIMCO
COMMODITYREAL-
RETURN STRAT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C (FBO)
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
2,329,725.14 |
|
11.78% |
PIMCO
COMMODITYREAL-
RETURN STRAT A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
2,809,802.65 |
|
14.21% |
PIMCO
COMMODITYREAL-
RETURN STRAT A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,784,963.88 |
|
9.03% |
PIMCO
COMMODITYREAL-
RETURN STRAT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
2,752,674.00 |
|
13.92% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITYREAL-
RETURN STRAT A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
2,061,921.98 |
|
10.43% |
PIMCO CREDIT
OPPORTUNITIES
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNTS FBO
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
645,686.59 |
|
23.39% |
PIMCO CREDIT
OPPORTUNITIES
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
223,162.63 |
|
8.08% |
PIMCO CREDIT
OPPORTUNITIES
BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
143,505.24 |
|
5.20% |
PIMCO CREDIT
OPPORTUNITIES
BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
701,969.24 |
* |
25.43% |
PIMCO CREDIT
OPPORTUNITIES
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
665,144.34 |
|
24.09% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,362,162.21 |
|
7.76% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,208,830.92 |
|
6.89%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,169,633.80 |
|
6.67% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,261,091.20 |
|
7.19% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
3,723,902.53 |
|
21.22% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,751,894.84 |
|
9.98% |
PIMCO DIVERSIFIED
INCOME A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
2,124,912.65 |
|
12.11% |
PIMCO DYNAMIC
BOND A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
780,460.71 |
|
5.20% |
PIMCO DYNAMIC
BOND A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,636,575.79 |
|
10.91% |
PIMCO DYNAMIC
BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,129,053.42 |
|
14.19% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DYNAMIC
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,968,688.45 |
|
13.12% |
PIMCO DYNAMIC
BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,746,222.63 |
|
11.64% |
PIMCO DYNAMIC
BOND A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,183,501.27 |
|
7.89% |
PIMCO DYNAMIC
BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,399,566.37 |
|
9.33% |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
883,065.51 |
|
16.94% |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
355,204.02 |
|
6.81% |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,025,752.43 |
|
19.68% |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
971,834.59 |
|
18.64% |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
265,001.05 |
|
5.08%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EM LOCAL
CURRENCY AND
BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
452,241.66 |
|
8.67% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
2,927,566.60 |
|
19.39% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,370,542.56 |
|
9.08% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
2,777,365.51 |
|
18.40% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
817,343.70 |
|
5.41% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
1,230,540.39 |
|
8.15% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
971,028.68 |
|
6.43% |
PIMCO EMERGING
MARKETS BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,044,865.54 |
|
6.92%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EMG MKT
CURR &
SHORT-TERM INV A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
232,834.97 |
|
24.08% |
PIMCO EMG MKT
CURR &
SHORT-TERM INV A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
80,850.46 |
|
8.36% |
PIMCO EMG MKT
CURR &
SHORT-TERM INV A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
48,358.28 |
|
5.00% |
PIMCO EMG MKT
CURR &
SHORT-TERM INV A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
221,859.03 |
|
22.94% |
PIMCO EMG MKT
CURR &
SHORT-TERM INV A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
118,507.66 |
|
12.25% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNTS FBO
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
829,212.56 |
* |
44.57% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
716,256.73 |
* |
38.50% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
1,361,207.35 |
|
18.38% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
|
EMPOWER TRUST FBO
EMPLOYEE BENEFITS
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
765,511.98 |
|
10.34% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
|
MATRIX TRUST COMPANY
CUST FBO VERMEER
CORPORATION XXX(K)
RETIREME 717 17TH STREET
SUITE 1300, DENVER CO
80202-3304 |
813,646.61 |
|
10.99% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
652,542.79 |
|
8.81% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,165,302.39 |
|
15.73% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) A |
A |
** |
VOYA INSTITUTIONAL
TRUST COMPANY FBO
SODEXO 30 BRAINTREE
HILL OFFICE PARK,
BRAINTREE MA 02184-8747 |
447,352.99 |
|
6.04% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
387,395.21 |
|
5.67% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
643,419.78 |
|
9.42% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
812,259.74 |
|
11.89% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
773,776.80 |
|
11.32% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
554,960.59 |
|
8.12% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
782,569.13 |
|
11.45% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
409,816.18 |
|
6.00% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
375,512.69 |
|
5.49% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
647,846.55 |
|
9.48% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,445,675.65 |
|
6.87% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
|
EMPOWER TRUST FBO
EMPLOYEE BENEFIT
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
1,300,820.01 |
|
6.18% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,782,115.61 |
|
8.46% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
2,639,292.23 |
|
12.53% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,963,551.54 |
|
14.07% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
2,244,176.66 |
|
10.66% |
PIMCO GNMA AND
GOV SECURITIES A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,217,077.97 |
|
15.28% |
PIMCO
GOVERNMENT
MONEY MARKET A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
523,029,369.20 |
* |
30.22% |
PIMCO
GOVERNMENT
MONEY MARKET A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
152,122,348.02 |
|
8.79% |
PIMCO
GOVERNMENT
MONEY MARKET A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
259,478,216.65 |
|
14.99% |
PIMCO
GOVERNMENT
MONEY MARKET A |
A |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
591,638,884.74 |
* |
34.18% |
PIMCO HIGH YIELD
A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
8,152,299.17 |
|
14.03% |
PIMCO HIGH YIELD
A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,246,222.26 |
|
7.31%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,908,555.04 |
|
8.45% |
PIMCO HIGH YIELD
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
11,963,776.76 |
|
20.58% |
PIMCO HIGH YIELD
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,051,402.16 |
|
6.97% |
PIMCO HIGH YIELD
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
4,632,652.20 |
|
7.97% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
7,282,963.79 |
|
5.97% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
12,408,917.24 |
|
10.17% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
13,835,100.85 |
|
11.34% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
19,809,716.28 |
|
16.23% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
10,320,621.47 |
|
8.46%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
11,981,933.78 |
|
9.82% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
6,359,331.66 |
|
5.21% |
PIMCO HIGH YIELD
MUNICIPAL BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
18,652,300.40 |
|
15.29% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNTS FBO
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
663,815.24 |
|
13.97% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
427,205.10 |
|
8.99% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
246,900.54 |
|
5.20% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,197,308.74 |
* |
25.20% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
556,868.02 |
|
11.72% |
PIMCO HIGH YIELD
SPECTRUM A |
A |
** |
SECURITY BENEFIT
DIRECTED FIDUCIARY FBO
UMB BANK FOR VARIOUS
RETIREMENT ACCOUNTS 1
SW SECURITY BENEFIT PL,
TOPEKA KS 66636-1000 |
633,239.31 |
|
13.33% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
192,401,236.60 |
|
14.88% |
PIMCO INCOME A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
73,231,965.74 |
|
5.66% |
PIMCO INCOME A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
113,025,709.66 |
|
8.74% |
PIMCO INCOME A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
108,423,164.46 |
|
8.39% |
PIMCO INCOME A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
281,196,856.20 |
|
21.75% |
PIMCO INCOME A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
111,067,313.48 |
|
8.59% |
PIMCO INCOME A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
102,252,635.88 |
|
7.91% |
PIMCO INFLATION
RESPONSE M-A A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
316,046.18 |
|
8.55%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INFLATION
RESPONSE M-A A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
207,637.88 |
|
5.62% |
PIMCO INFLATION
RESPONSE M-A A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
607,847.44 |
|
16.45% |
PIMCO INFLATION
RESPONSE M-A A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,380,898.73 |
* |
37.38% |
PIMCO INFLATION
RESPONSE M-A A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
586,253.77 |
|
15.87% |
PIMCO INTL BOND
(UNHEDGED) A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
2,570,120.49 |
|
20.84% |
PIMCO INTL BOND
(UNHEDGED) A |
A |
** |
ING LIFE INSURANCE &
ANNUITY CO 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
1,227,528.36 |
|
9.95% |
PIMCO INTL BOND
(UNHEDGED) A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
6,110,637.19 |
* |
49.55% |
PIMCO INTL BOND
(USD-HEDGED) A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
18,146,309.10 |
* |
30.63% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INTL BOND
(USD-HEDGED) A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
7,591,129.37 |
|
12.81% |
PIMCO INTL BOND
(USD-HEDGED) A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
13,642,071.41 |
|
23.03% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
5,086,515.42 |
|
6.20% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
4,630,430.17 |
|
5.64% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
16,160,174.70 |
|
19.70% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
5,204,667.69 |
|
6.34% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
17,249,017.23 |
|
21.03% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
6,622,543.28 |
|
8.07%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
INVESTMENT
GRADE CREDIT
BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
5,041,637.40 |
|
6.15% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
|
C/O MISSIONSQUARE
RETIREMENT
VANTAGEPOINT
TRADITIONAL IRA, 777
NORTH CAPITOL STREET NE,
WASHINGTON DC 20002-4239 |
296,919.70 |
|
7.44% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
266,479.58 |
|
6.67% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
358,909.43 |
|
8.99% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,341,383.04 |
* |
33.60% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
283,987.00 |
|
7.11% |
PIMCO LONG
DURATION TOTAL
RETURN A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
479,019.39 |
|
12.00% |
PIMCO LONG-TERM
US GOVERNMENT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C (FBO)
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
355,314.86 |
|
10.90% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG-TERM
US GOVERNMENT A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
190,301.29 |
|
5.84% |
PIMCO LONG-TERM
US GOVERNMENT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
625,740.08 |
|
19.20% |
PIMCO LONG-TERM
US GOVERNMENT A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
415,486.07 |
|
12.75% |
PIMCO LONG-TERM
US GOVERNMENT A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
178,430.43 |
|
5.48% |
PIMCO LOW
DURATION A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
5,064,744.05 |
|
8.43% |
PIMCO LOW
DURATION A |
A |
|
MERRILL LYNCH LIFE
INSURANCE CO PRODUCT:
INVESTOR CHOICE ANNUITY
IRA SERIES 4333 EDGEWOOD
RD NE, CEDAR RAPIDS IA
52499-0001 |
3,235,554.89 |
|
5.38% |
PIMCO LOW
DURATION A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
5,725,254.60 |
|
9.53% |
PIMCO LOW
DURATION A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
5,635,272.58 |
|
9.38%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
13,033,852.43 |
|
21.69% |
PIMCO LOW
DURATION A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,394,885.89 |
|
7.31% |
PIMCO LOW
DURATION A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
5,223,937.80 |
|
8.69% |
PIMCO LOW
DURATION CREDIT
FUND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
303,238.42 |
|
6.53% |
PIMCO LOW
DURATION CREDIT
FUND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
356,713.14 |
|
7.68% |
PIMCO LOW
DURATION CREDIT
FUND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
483,990.40 |
|
10.42% |
PIMCO LOW
DURATION CREDIT
FUND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,020,371.86 |
|
21.96% |
PIMCO LOW
DURATION CREDIT
FUND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
814,135.31 |
|
17.52% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
12,880,253.38 |
|
6.02%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION INCOME
A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
28,126,504.64 |
|
13.14% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
22,163,840.56 |
|
10.36% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
33,530,150.97 |
|
15.67% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
19,635,709.73 |
|
9.17% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
14,040,907.00 |
|
6.56% |
PIMCO LOW
DURATION INCOME
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
30,906,279.71 |
|
14.44% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
90,128.86 |
|
8.01% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
161,439.06 |
|
14.35% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
79,256.63 |
|
7.04%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
168,462.77 |
|
14.97% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
202,689.33 |
|
18.01% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
67,253.19 |
|
5.98% |
PIMCO LOW
DURATION
OPPORTUNITIES A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
118,411.31 |
|
10.52% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNTS FBO
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
1,643,321.44 |
|
6.97% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,333,812.99 |
|
5.66% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,090,650.32 |
|
17.35% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
7,409,103.99 |
* |
31.42% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
2,348,855.02 |
|
9.96%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,360,975.26 |
|
5.77% |
PIMCO MORTGAGE
OPP AND BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,791,068.03 |
|
7.60% |
PIMCO
MORTGAGE-BACKED
SECURITIES A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C (FBO)
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
585,056.60 |
|
22.63% |
PIMCO
MORTGAGE-BACKED
SECURITIES A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
417,589.82 |
|
16.15% |
PIMCO
MORTGAGE-BACKED
SECURITIES A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
668,288.02 |
* |
25.85% |
PIMCO
MORTGAGE-BACKED
SECURITIES A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
232,129.78 |
|
8.98% |
PIMCO MUNICIPAL
BOND A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
3,595,526.95 |
|
5.06% |
PIMCO MUNICIPAL
BOND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
10,040,348.92 |
|
14.14% |
PIMCO MUNICIPAL
BOND A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
5,484,803.58 |
|
7.72% |
PIMCO MUNICIPAL
BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,738,692.82 |
|
6.67%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MUNICIPAL
BOND A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
5,941,951.30 |
|
8.37% |
PIMCO MUNICIPAL
BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
8,430,237.46 |
|
11.87% |
PIMCO MUNICIPAL
BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
4,775,656.29 |
|
6.72% |
PIMCO MUNICIPAL
BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,967,997.56 |
|
7.00% |
PIMCO MUNICIPAL
BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
11,592,733.26 |
|
16.32% |
PIMCO NATL
INTERMEDIATE
MUNI BOND A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
1,840,407.09 |
|
19.66% |
PIMCO NATL
INTERMEDIATE
MUNI BOND A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,002,946.95 |
|
10.71% |
PIMCO NATL
INTERMEDIATE
MUNI BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,320,114.92 |
|
24.78% |
PIMCO NATL
INTERMEDIATE
MUNI BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,773,771.07 |
|
18.95% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO NATL
INTERMEDIATE
MUNI BOND A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,350,639.50 |
|
14.43% |
PIMCO NEW YORK
MUNICIPAL BOND A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
11,841,321.42 |
* |
41.33% |
PIMCO NEW YORK
MUNICIPAL BOND A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,846,919.44 |
|
13.43% |
PIMCO NEW YORK
MUNICIPAL BOND A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,867,371.69 |
|
6.52% |
PIMCO NEW YORK
MUNICIPAL BOND A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
6,023,853.44 |
|
21.03% |
PIMCO NEW YORK
MUNICIPAL BOND A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,843,809.56 |
|
6.44% |
PIMCO PREFERRED
AND CAPITAL SEC A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
2,228,715.56 |
|
17.05% |
PIMCO PREFERRED
AND CAPITAL SEC A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,179,272.90 |
|
9.02% |
PIMCO PREFERRED
AND CAPITAL SEC A |
A |
** |
LPL FINANCIAL A/C
XXXX-XXXX 9785 TOWNE
CENTRE DRIVE, SAN DIEGO
CA 92121-1968 |
861,949.13 |
|
6.59%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO PREFERRED
AND CAPITAL SEC A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
4,454,984.72 |
* |
34.09% |
PIMCO PREFERRED
AND CAPITAL SEC A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,394,276.10 |
|
10.67% |
PIMCO RAE
FUNDAMENTAL
ADV PLUS A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
112,030.31 |
|
8.45% |
PIMCO RAE
FUNDAMENTAL
ADV PLUS A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
991,843.57 |
* |
74.80% |
PIMCO RAE PLUS A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,675,147.56 |
|
6.45% |
PIMCO RAE PLUS A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
1,787,855.74 |
|
6.88% |
PIMCO RAE PLUS A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,623,027.63 |
|
6.25% |
PIMCO RAE PLUS A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,443,046.15 |
|
5.56% |
PIMCO RAE PLUS A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,666,965.29 |
|
6.42%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
7,690,571.94 |
* |
29.61% |
PIMCO RAE PLUS A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,261,209.63 |
|
8.71% |
PIMCO RAE PLUS A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,668,672.52 |
|
6.42% |
PIMCO RAE PLUS
EMG A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
406,014.34 |
|
10.44% |
PIMCO RAE PLUS
EMG A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
3,124,023.43 |
* |
80.31% |
PIMCO RAE PLUS
INTERNATIONAL A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
188,815.57 |
* |
32.94% |
PIMCO RAE PLUS
INTERNATIONAL A |
A |
|
MID ATLANTIC TRUST
COMPANY FBO ALERUS
FINANCIAL FBO KASKASKIA
TOOL 1251 WATERFRONT PL
STE 525, PITTSBURGH PA
15222-4228 |
37,884.68 |
|
6.61% |
PIMCO RAE PLUS
INTERNATIONAL A |
A |
|
MID ATLANTIC TRUST
COMPANY FBO
ALLTEMATED, INC.
EMPLOYEE PROFIT SH 1251
WATERFRONT PL STE 525,
PITTSBURGH PA 15222-4228 |
31,554.68 |
|
5.51%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS
INTERNATIONAL A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
89,522.39 |
|
15.62% |
PIMCO RAE PLUS
INTERNATIONAL A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
36,781.23 |
|
6.42% |
PIMCO RAE PLUS
SMALL A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
190,214.45 |
|
16.04% |
PIMCO RAE PLUS
SMALL A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
81,810.75 |
|
6.90% |
PIMCO RAE PLUS
SMALL A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
331,312.33 |
* |
27.94% |
PIMCO RAE PLUS
SMALL A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
211,961.82 |
|
17.88% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
134,254.59 |
|
5.03% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
296,208.42 |
|
11.09% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
138,396.67 |
|
5.18%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
681,270.13 |
* |
25.50% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
402,023.22 |
|
15.05% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
337,569.47 |
|
12.64% |
PIMCO REAL
RETURN A |
A |
** |
CHARLES SCHWAB & CO INC
RPS SPECIAL CUSTODY AC
FOR THE EXCLUSIVE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
6,805,726.49 |
|
6.41% |
PIMCO REAL
RETURN A |
A |
** |
JOHN HANCOCK LIFE INS CO
(USA) ATTN JHRPS TRADING
OPS ST6, 200 BERKELEY ST,
BOSTON MA 02116-5022 |
12,345,795.16 |
|
11.62% |
PIMCO REAL
RETURN A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
16,719,705.31 |
|
15.74% |
PIMCO REAL
RETURN A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
6,242,624.80 |
|
5.88% |
PIMCO REAL
RETURN A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
16,302,273.54 |
|
15.34% |
PIMCO REAL
RETURN A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
5,541,642.90 |
|
5.22%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
REALESTATEREALRETURN
STRAT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
606,687.32 |
|
12.54% |
PIMCO
REALESTATEREALRETURN
STRAT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,461,241.33 |
* |
30.19% |
PIMCO
REALESTATEREALRETURN
STRAT A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
700,259.04 |
|
14.47% |
PIMCO
REALESTATEREALRETURN
STRAT A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
245,614.59 |
|
5.08% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,191,840.97 |
|
11.77% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
962,813.63 |
|
9.51% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
615,123.95 |
|
6.07% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,285,365.77 |
|
22.56% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
589,249.87 |
|
5.82%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
963,991.90 |
|
9.52% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,324,825.10 |
|
13.08% |
PIMCO SHORT
ASSET INVESTMENT
A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
766,837.08 |
|
7.57% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
626,775.39 |
|
5.36% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
1,430,217.83 |
|
12.22% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
1,329,457.35 |
|
11.36% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
586,308.63 |
|
5.01% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,920,639.95 |
|
16.41% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,218,778.37 |
|
10.41% |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
819,731.54 |
|
7.00%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
DURATION MUNI
INCOME A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,960,378.22 |
|
16.75% |
PIMCO SHORT-TERM
A |
A |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY
ACCOUNT OF THE
EXCLUSIVE BENEFIT OF
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
7,446,971.86 |
|
10.47% |
PIMCO SHORT-TERM
A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,569,510.42 |
|
6.42% |
PIMCO SHORT-TERM
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
14,752,897.98 |
|
20.74% |
PIMCO SHORT-TERM
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
7,915,401.11 |
|
11.13% |
PIMCO SHORT-TERM
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
5,166,850.22 |
|
7.26% |
PIMCO SHORT-TERM
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
8,192,099.99 |
|
11.52% |
PIMCO STOCKSPLUS
A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,555,312.06 |
|
7.05% |
PIMCO STOCKSPLUS
A |
A |
** |
MASSACHUSETTS MUTUAL
LIFE INSURANCE 1295 STATE
STREET MIP M200-INVST,
SPRINGFIELD MA 01111-0001 |
2,156,604.74 |
|
5.95%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
2,749,595.09 |
|
7.58% |
PIMCO STOCKSPLUS
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
5,132,866.07 |
|
14.16% |
PIMCO STOCKSPLUS
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,465,405.68 |
|
12.32% |
PIMCO STOCKSPLUS
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
3,217,343.59 |
|
8.87% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
4,045,163.80 |
|
8.81% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
3,510,384.92 |
|
7.64% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,994,035.68 |
|
6.52% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,745,292.27 |
|
5.98% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
9,334,228.85 |
|
20.32% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,857,957.36 |
|
10.58% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
4,799,237.38 |
|
10.45% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
1,797,102.00 |
* |
61.26% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
429,696.90 |
|
14.65% |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
9,018,557.07 |
|
18.56% |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,240,490.38 |
|
8.73% |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,733,604.65 |
|
7.68% |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
11,529,802.76 |
|
23.73% |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,958,040.84 |
|
6.09%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
INTL (USD-HDG) A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
3,139,591.64 |
|
6.46% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
280,921.21 |
|
11.00% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
309,093.61 |
|
12.10% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
751,728.60 |
* |
29.44% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
269,854.41 |
|
10.57% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
168,080.74 |
|
6.58% |
PIMCO STOCKSPLUS
SHORT A |
A |
** |
VANGUARD MARKETING
CORPORATION 100
VANGUARD BLVD,
MALVERN PA 19355-2331 |
176,309.49 |
|
6.90% |
PIMCO STOCKSPLUS
SMALL A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
2,689,830.77 |
|
8.43% |
PIMCO STOCKSPLUS
SMALL A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
8,840,077.95 |
* |
27.71% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
SMALL A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,463,992.75 |
|
7.72% |
PIMCO STOCKSPLUS
SMALL A |
A |
** |
SECURITY BENEFIT
DIRECTED FIDUCIARY FBO
UMB BANK FOR VARIOUS
RETIREMENT ACCOUNTS 1
SW SECURITY BENEFIT PL,
TOPEKA KS 66636-1000 |
4,707,078.05 |
|
14.76% |
PIMCO TOTAL
RETURN A |
A |
** |
CHARLES SCHWAB & CO INC
RPS SPECIAL CUSTODY AC
FOR THE EXCLUSIVE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
83,398,885.14 |
|
15.88% |
PIMCO TOTAL
RETURN A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
48,891,394.93 |
|
9.31% |
PIMCO TOTAL
RETURN A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
129,398,648.69 |
|
24.64% |
PIMCO TOTAL
RETURN A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
29,276,358.01 |
|
5.57% |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
113,011.14 |
|
6.31% |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
318,527.65 |
|
17.78% |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
668,320.79 |
* |
37.30% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
SC1 FL 12, NEW YORK NY
10004-1932 |
189,576.38 |
|
10.58% |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
124,301.15 |
|
6.94% |
PIMCO TOTAL
RETURN ESG FUND
A |
A |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
114,823.34 |
|
6.41% |
PIMCO TOTAL
RETURN IV A |
A |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
878,101.22 |
* |
78.83% |
PIMCO TOTAL
RETURN IV A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
81,473.54 |
|
7.31% |
PIMCO TRENDS
MGD FUTURES
STRAT A |
A |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS, 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
2,229,281.23 |
* |
49.99% |
PIMCO TRENDS
MGD FUTURES
STRAT A |
A |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
928,304.61 |
|
20.82% |
PIMCO TRENDS
MGD FUTURES
STRAT A |
A |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
342,547.43 |
|
7.68%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
ADM |
ADM |
** |
JOHN HANCOCK LIFE INS CO
(USA) ATTN JHRPS TRADING
OPS ST6, 200 BERKELEY ST,
BOSTON MA 02116-5022 |
2,886,654.76 |
* |
57.98% |
PIMCO ALL ASSET
ADM |
ADM |
** |
JOHN HANCOCK LIFE
INSURANCE COMPANY OF
NEW YORK ATTN JHRPS
TRADNG OPS ST6, 200
BERKELEY ST, BOSTON MA
02116-5022 |
338,100.31 |
|
6.79% |
PIMCO ALL ASSET
ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
396,462.25 |
|
7.96% |
PIMCO ALL ASSET
ADM |
ADM |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
681,730.65 |
|
13.69% |
PIMCO
COMMODITYREAL-
RETURN STRAT
ADM |
ADM |
|
EMPOWER TRUST FBO
EMPOWER IRA ADVANTAGE
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
4,252,985.59 |
* |
51.94% |
PIMCO
COMMODITYREAL-
RETURN STRAT
ADM |
ADM |
** |
JOHN HANCOCK LIFE INS CO
(USA) ATTN JHRPS TRADING
OPS ST6, 200 BERKELEY ST,
BOSTON MA 02116-5022 |
1,726,162.56 |
|
21.08% |
PIMCO DIVERSIFIED
INCOME ADM |
ADM |
|
CHARLES SCHWAB TRUST
BANK TRUST COLSA
CORPORATION XXX(K)
PROFIT SHA ARING PLAN
XXXXXX 2423 E LINCOLN
DR, PHOENIX AZ 85016-1215 |
961,331.83 |
* |
57.59% |
PIMCO DIVERSIFIED
INCOME ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
113,107.90 |
|
6.78%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DIVERSIFIED
INCOME ADM |
ADM |
** |
RELIANCE TRUST COMPANY
FBO T ROWE PRICE
RETIREMENT PLAN CLIENTS
PO BOX 78446, ATLANTA
GEORGIA 30357 |
232,685.74 |
|
13.94% |
PIMCO DIVERSIFIED
INCOME ADM |
ADM |
|
VANTAGEPOINT
TRADITIONAL IRA C/O
MISSIONSQUARE
RETIREMENT XXX NORTH
CAPITOL STREET, NE
WASHINGTON DC 20002-4239 |
179,536.79 |
|
10.76% |
PIMCO
GOVERNMENT
MONEY MARKET
ADMIN |
ADM |
|
C/O EMPOWER EMPOWER
TRUST FBO EMERALD
PEOPLES UTILITY DISTRICT
45, 8515 E ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
2,037,859.72 |
|
8.23% |
PIMCO
GOVERNMENT
MONEY MARKET
ADMIN |
ADM |
** |
JOHN HANCOCK TRUST
COMPANY LLC 200
BERKELEY ST STE 7,
BOSTON MA 02116-5038 |
5,566,822.13 |
|
22.49% |
PIMCO
GOVERNMENT
MONEY MARKET
ADMIN |
ADM |
** |
JOHN HANCOCK TRUST
COMPANY LLC 200
BERKELEY ST STE 7,
BOSTON MA 02116-5038 |
13,630,235.96 |
* |
55.06% |
PIMCO HIGH YIELD
ADM |
ADM |
|
EMPOWER TRUST FBO
EMPOWER IRA ADVANTAGE
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
3,320,481.04 |
|
9.27% |
PIMCO HIGH YIELD
ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,347,602.16 |
|
6.55% |
PIMCO HIGH YIELD
ADM |
ADM |
** |
VANTAGETRUST UNITIZED
C/O ICMA RETIREMENT
CORPORATION, 777 N
CAPITOL ST NE,
WASHINGTON DC 20002-4239 |
25,225,806.87 |
* |
70.39% |
PIMCO INCOME
ADM |
ADM |
|
ATTN PLIC PROXY
COORDINATOR PRINCIPAL
LIFE INS COMPANY CUST
FBO PFG OMNIBUS
WRAPPED AND CUSTOM
FUNDS, 711 HIGH STREET,
DES MOINES IA 50392-0001 |
1,567,336.72 |
|
6.20%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME
ADM |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
3,701,947.92 |
|
14.64% |
PIMCO INCOME
ADM |
ADM |
|
EMPOWER TRUST FBO
EMPOWER IRA ADVANTAGE
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
4,086,178.95 |
|
16.16% |
PIMCO INCOME
ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
3,855,498.37 |
|
15.25% |
PIMCO INCOME
ADM |
ADM |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,756,124.09 |
|
6.95% |
PIMCO INTL BOND
(UNHEDGED)
ADMIN |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
188,096.20 |
|
16.37% |
PIMCO INTL BOND
(UNHEDGED)
ADMIN |
ADM |
|
VANTAGEPOINT ROTH IRA
C/O MISSIONSQUARE
RETIREMENT 777 NORTH
CAPITOL STREET, NE,
WASHINGTON DC 20002-4239 |
91,120.03 |
|
7.93% |
PIMCO INTL BOND
(UNHEDGED)
ADMIN |
ADM |
|
VANTAGEPOINT
TRADITIONAL IRA C/O
MISSIONSQUARE
RETIREMENT XXX NORTH
CAPITOL STREET, NE
WASHINGTON DC 20002-4239 |
357,655.81 |
* |
31.14% |
PIMCO INTL BOND
(UNHEDGED)
ADMIN |
ADM |
** |
VRSCO FBO VTC CUST TTEE
FBO UNIVERSITY OF TEXAS
XXXB ORP 2929 ALLEN
PKWY STE A6-20, HOUSTON
TX 77019-7100 |
121,916.69 |
|
10.61% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INTL BOND
(USD-HEDGED)
ADMIN |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
2,596,253.55 |
* |
45.64% |
PIMCO INTL BOND
(USD-HEDGED)
ADMIN |
ADM |
|
EMPOWER TRUST FBO
EMPLOYEE BENEFIT
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
413,203.98 |
|
7.26% |
PIMCO INTL BOND
(USD-HEDGED)
ADMIN |
ADM |
** |
LINCOLN RETIREMENT
SERVICES COMPANY FBO
FORREST GENERAL
HOSPITAL XXXB PO BOX
7876, FORT WAYNE IN
46801-7876 |
1,173,550.38 |
|
20.63% |
PIMCO INTL BOND
(USD-HEDGED)
ADMIN |
ADM |
** |
NATIONWIDE LIFE
INSURANCE COMPANY GPVA
ATTN IPO PORT, PO BOX
182029, COLUMBUS OH
43218-2029 |
314,756.73 |
|
5.53% |
PIMCO
INVESTMENT
GRADE CREDIT BD
ADMIN |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
1,388,177.94 |
* |
54.18% |
PIMCO
INVESTMENT
GRADE CREDIT BD
ADMIN |
ADM |
|
EMPOWER TRUST FBO
EMPOWER IRA ADVANTAGE
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
263,545.24 |
|
10.29% |
PIMCO
INVESTMENT
GRADE CREDIT BD
ADMIN |
ADM |
** |
STATE STREET BANK AND
TRUST AS TRUSTEE AND/OR
CUSTODIAN FBO ADP
ACCESS PRODUCT 1
LINCOLN ST, BOSTON MA
02111-2901 |
293,386.46 |
|
11.45% |
PIMCO LOW
DURATION ADM |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
169,371.39 |
|
7.58%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,113,486.28 |
* |
49.84% |
PIMCO LOW
DURATION ADM |
ADM |
|
RELIANCE TRUST CO FBO
COMERICA NON-EB C/C PO
BOX 570788, ATLANTA GA
30357-3114 |
116,326.62 |
|
5.21% |
PIMCO LOW
DURATION ADM |
ADM |
|
VANTAGEPOINT
TRADITIONAL IRA C/O
MISSIONSQUARE
RETIREMENT XXX NORTH
CAPITOL STREET, NE
WASHINGTON DC 20002-4239 |
265,265.49 |
|
11.87% |
PIMCO LOW
DURATION II ADM |
ADM |
|
SEI PRIVATE TRUST
COMPANY C O PRINCIPAL
FINANCIAL ID XXX C/O CITY
NATIONAL BANK ID 541, 1
FREEDOM VALLEY DR,
OAKS PA 19456-9989 |
1,024,594.79 |
* |
98.83% |
PIMCO REAL
RETURN ADM |
ADM |
** |
CNTY COMM CORP BRD OF
DIR TRUSTEE FBO CNTY
COMM ASSOC OF OHIO DCP
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
3,565,654.11 |
|
10.31% |
PIMCO REAL
RETURN ADM |
ADM |
** |
EMPOWER TRUST FBO
EMPOWER IRA ADVANTAGE
C/O FASCORE LLC 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
16,506,415.09 |
* |
47.75% |
PIMCO REAL
RETURN ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,092,784.86 |
|
11.84% |
PIMCO SHORT
ASSET INVESTMENT
ADM |
ADM |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
4,649.42 |
|
9.33%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
ASSET INVESTMENT
ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
9,261.33 |
|
18.59% |
PIMCO SHORT
ASSET INVESTMENT
ADM |
ADM |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
32,287.13 |
* |
64.80% |
PIMCO SHORT-TERM
ADM |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
120,934.14 |
|
6.60% |
PIMCO SHORT-TERM
ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,331,991.97 |
* |
72.64% |
PIMCO TOTAL
RETURN ADM |
ADM |
** |
EMPOWER ANNUITY
INSURANCE FBO FUTURE
FUNDS II 8515 E ORCHARD
RD 2T2, GREENWOOD
VILLAGE CO 80111-5002 |
5,061,653.53 |
|
6.06% |
PIMCO TOTAL
RETURN ADM |
ADM |
** |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
5,050,248.05 |
|
6.05% |
PIMCO TOTAL
RETURN ADM |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
40,786,925.16 |
* |
48.82% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN ESG ADMIN |
ADM |
** |
CHARLES SCHWAB & CO
SPECIAL CUSTODY ACCT
FOR EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
CAROL WU/MUTUAL FUND
OPS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1905 |
143,630.32 |
|
6.45% |
PIMCO TOTAL
RETURN ESG ADMIN |
ADM |
** |
HARTFORD LIFE INSURANCE
CO PO BOX 2999, HARTFORD
CT 06104-2999 |
1,573,083.19 |
* |
70.69% |
PIMCO TOTAL
RETURN ESG ADMIN |
ADM |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
111,654.13 |
|
5.02% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
135,570.72 |
|
7.60% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
114,414.62 |
|
6.41% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
134,760.66 |
|
7.55% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
146,426.82 |
|
8.21% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
110,093.66 |
|
6.17% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
339,782.17 |
|
19.05% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
279,239.43 |
|
15.65% |
PIMCO ALL ASSET
ALL AUTHORITY C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
180,992.58 |
|
10.15% |
PIMCO ALL ASSET C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
156,782.27 |
|
5.84% |
PIMCO ALL ASSET C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
195,396.08 |
|
7.28% |
PIMCO ALL ASSET C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
184,551.77 |
|
6.88% |
PIMCO ALL ASSET C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
180,628.50 |
|
6.73% |
PIMCO ALL ASSET C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
181,297.39 |
|
6.76% |
PIMCO ALL ASSET C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
185,113.14 |
|
6.90% |
PIMCO ALL ASSET C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
732,134.70 |
* |
27.28% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
400,475.93 |
|
14.92% |
PIMCO CLIMATE
BOND FUND CLASS
C |
C |
** |
ALLIANZ FUND
INVESTMENTS INC 1633
BROADWAY NEW YORK, NY
10019 |
1,110.80 |
|
14.51% |
PIMCO CLIMATE
BOND FUND CLASS
C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
5,968.36 |
* |
77.98% |
PIMCO CLIMATE
BOND FUND CLASS
C |
C |
** |
UMB BANK NA CUST DCD
IRA FBO PATRICIA M KRUSE
FBO LORRAINE M JACOBS
8592 KRUSE RD, MACHIAS
NY 14101-9616 |
574.13 |
|
7.50% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
216,822.38 |
|
10.11% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
175,661.14 |
|
8.19% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
110,689.12 |
|
5.16% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
420,891.13 |
|
19.63% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
145,629.64 |
|
6.79% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
202,482.05 |
|
9.44%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
199,823.01 |
|
9.32% |
PIMCO
COMMODITIESPLUS
STRAT C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
486,169.19 |
|
22.67% |
PIMCO
COMMODITYREAL-
RETURN STRAT C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
157,196.94 |
|
5.04% |
PIMCO
COMMODITYREAL-
RETURN STRAT C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
412,959.73 |
|
13.25% |
PIMCO
COMMODITYREAL-
RETURN STRAT C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
919,974.60 |
* |
29.52% |
PIMCO
COMMODITYREAL-
RETURN STRAT C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,077,074.24 |
* |
34.56% |
PIMCO CREDIT
OPPORTUNITIES
BOND C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
19,779.11 |
|
8.00% |
PIMCO CREDIT
OPPORTUNITIES
BOND C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
44,012.58 |
|
17.80% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CREDIT
OPPORTUNITIES
BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
87,324.96 |
* |
35.31% |
PIMCO CREDIT
OPPORTUNITIES
BOND C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
13,999.17 |
|
5.66% |
PIMCO CREDIT
OPPORTUNITIES
BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
55,217.29 |
|
22.33% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
197,649.26 |
|
7.55% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
144,818.83 |
|
5.53% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
232,956.44 |
|
8.89% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
213,998.45 |
|
8.17% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
414,990.07 |
|
15.84% |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
253,505.19 |
|
9.68%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DIVERSIFIED
INCOME C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
785,238.12 |
* |
29.98% |
PIMCO DYNAMIC
BOND C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
50,763.94 |
|
5.37% |
PIMCO DYNAMIC
BOND C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
235,597.82 |
|
24.91% |
PIMCO DYNAMIC
BOND C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
72,778.13 |
|
7.70% |
PIMCO DYNAMIC
BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
141,034.09 |
|
14.91% |
PIMCO DYNAMIC
BOND C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
52,670.70 |
|
5.57% |
PIMCO DYNAMIC
BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
124,746.16 |
|
13.19% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
107,102.19 |
|
23.08% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
33,265.17 |
|
7.17%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
61,398.63 |
|
13.23% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
99,174.46 |
|
21.37% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
38,836.80 |
|
8.37% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
23,987.34 |
|
5.17% |
PIMCO EM LOCAL
CURRENCY AND
BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
48,829.51 |
|
10.52% |
PIMCO EMERGING
MARKETS BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
77,821.93 |
|
13.81% |
PIMCO EMERGING
MARKETS BOND C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
44,245.77 |
|
7.85% |
PIMCO EMERGING
MARKETS BOND C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
78,360.49 |
|
13.91% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EMERGING
MARKETS BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
221,532.34 |
* |
39.32% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
66,681.02 |
|
16.22% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
35,849.46 |
|
8.72% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
160,691.08 |
* |
39.09% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
48,389.02 |
|
11.77% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
24,706.22 |
|
6.01% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
21,121.04 |
|
5.14% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
16,829.51 |
|
8.34% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
10,918.01 |
|
5.41%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
CORE ASSET
ALLOCATION C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
15,598.79 |
|
7.73% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
12,823.05 |
|
6.36% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
76,697.54 |
* |
38.02% |
PIMCO GNMA AND
GOV SECURITIES C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
74,589.30 |
|
6.46% |
PIMCO GNMA AND
GOV SECURITIES C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
110,885.01 |
|
9.61% |
PIMCO GNMA AND
GOV SECURITIES C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
148,063.17 |
|
12.83% |
PIMCO GNMA AND
GOV SECURITIES C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
519,683.22 |
* |
45.03% |
PIMCO
GOVERNMENT
MONEY MARKET C |
C |
|
INTERACTIVE BROKERS LLC
2 PICKWICK PLZ STE 202,
GREENWICH CT 06830-5576 |
29,734,875.02 |
* |
54.30% |
PIMCO
GOVERNMENT
MONEY MARKET C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,178,671.42 |
|
5.80% |
PIMCO
GOVERNMENT
MONEY MARKET C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,933,848.48 |
|
7.18%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
GOVERNMENT
MONEY MARKET C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
3,719,001.07 |
|
6.79% |
PIMCO HIGH YIELD
C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
87,746.97 |
|
5.23% |
PIMCO HIGH YIELD
C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
121,431.48 |
|
7.24% |
PIMCO HIGH YIELD
C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
99,076.21 |
|
5.91% |
PIMCO HIGH YIELD
C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
167,178.33 |
|
9.97% |
PIMCO HIGH YIELD
C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
169,520.82 |
|
10.11% |
PIMCO HIGH YIELD
C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
194,547.16 |
|
11.60% |
PIMCO HIGH YIELD
C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
183,082.05 |
|
10.92% |
PIMCO HIGH YIELD
C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
284,061.20 |
|
16.94% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
78,651.61 |
|
15.16% |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
204,681.89 |
* |
39.45% |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
41,991.28 |
|
8.09% |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
41,369.39 |
|
7.97% |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
31,627.92 |
|
6.10% |
PIMCO HIGH YIELD
SPECTRUM C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
28,385.50 |
|
5.47% |
PIMCO INCOME C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
22,212,820.77 |
|
6.38% |
PIMCO INCOME C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
39,850,877.52 |
|
11.45% |
PIMCO INCOME C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
27,299,769.86 |
|
7.85%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
34,050,014.22 |
|
9.79% |
PIMCO INCOME C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
20,676,481.04 |
|
5.94% |
PIMCO INCOME C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
43,757,508.19 |
|
12.58% |
PIMCO INCOME C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
22,962,759.56 |
|
6.60% |
PIMCO INCOME C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
83,312,460.14 |
|
23.94% |
PIMCO INTL BOND
(UNHEDGED) C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
27,469.35 |
|
8.05% |
PIMCO INTL BOND
(UNHEDGED) C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
57,093.04 |
|
16.73% |
PIMCO INTL BOND
(UNHEDGED) C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
146,332.32 |
* |
42.88% |
PIMCO INTL BOND
(UNHEDGED) C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
38,892.64 |
|
11.40% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
128,962.21 |
|
6.14% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
150,603.46 |
|
7.17% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
139,331.77 |
|
6.64% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
263,581.86 |
|
12.55% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
308,165.62 |
|
14.68% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
243,539.04 |
|
11.60% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
363,292.78 |
|
17.30% |
PIMCO INTL BOND
(USD-HEDGED) C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
243,082.25 |
|
11.58% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
512,252.43 |
|
5.86%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
554,429.00 |
|
6.35% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
453,044.57 |
|
5.19% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,000,273.19 |
|
11.45% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
702,181.92 |
|
8.04% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,326,851.35 |
|
15.19% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
560,368.77 |
|
6.41% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
497,230.82 |
|
5.69% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,520,766.71 |
|
17.41% |
PIMCO LONG
DURATION TOTAL
RETURN C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
463,830.37 |
* |
38.08% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG
DURATION TOTAL
RETURN C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
107,591.48 |
|
8.83% |
PIMCO LONG
DURATION TOTAL
RETURN C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
507,971.42 |
* |
41.70% |
PIMCO LONG-TERM
US GOVERNMENT C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
842,619.92 |
* |
55.62% |
PIMCO LONG-TERM
US GOVERNMENT C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
150,415.91 |
|
9.93% |
PIMCO LONG-TERM
US GOVERNMENT C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
303,978.51 |
|
20.07% |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
10,678.05 |
|
9.36% |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
10,614.80 |
|
9.30% |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
17,432.08 |
|
15.28% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
10,919.78 |
|
9.57% |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
20,724.83 |
|
18.16% |
PIMCO LOW
DURATION
OPPORTUNITIES C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
32,307.46 |
* |
28.31% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
507,900.88 |
|
14.01% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
429,421.73 |
|
11.85% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
194,110.01 |
|
5.35% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
805,576.52 |
|
22.22% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
213,356.80 |
|
5.89% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
351,341.53 |
|
9.69%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
254,065.81 |
|
7.01% |
PIMCO MORTGAGE
OPP AND BOND C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
537,510.69 |
|
14.83% |
PIMCO
MORTGAGE-BACKED
SECURITIES C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
4,762.05 |
|
5.92% |
PIMCO
MORTGAGE-BACKED
SECURITIES C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
10,702.04 |
|
13.30% |
PIMCO
MORTGAGE-BACKED
SECURITIES C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
17,322.12 |
|
21.53% |
PIMCO
MORTGAGE-BACKED
SECURITIES C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
27,614.59 |
* |
34.32% |
PIMCO
MORTGAGE-BACKED
SECURITIES C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
10,277.51 |
|
12.77% |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
324,137.46 |
|
22.70% |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
101,846.66 |
|
7.13%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
275,423.62 |
|
19.29% |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
117,417.17 |
|
8.22% |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
205,255.39 |
|
14.38% |
PIMCO PREFERRED
AND CAPITAL SEC C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
278,241.03 |
|
19.49% |
PIMCO RAE PLUS C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
139,698.58 |
|
5.72% |
PIMCO RAE PLUS C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
171,270.54 |
|
7.01% |
PIMCO RAE PLUS C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
277,747.61 |
|
11.37% |
PIMCO RAE PLUS C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
128,416.62 |
|
5.26% |
PIMCO RAE PLUS C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
280,296.88 |
|
11.48% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
177,441.38 |
|
7.27% |
PIMCO RAE PLUS C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
152,031.35 |
|
6.23% |
PIMCO RAE PLUS C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
515,055.52 |
|
21.09% |
PIMCO RAE PLUS
EMG C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
43,255.09 |
* |
33.69% |
PIMCO RAE PLUS
EMG C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
17,300.52 |
|
13.48% |
PIMCO RAE PLUS
EMG C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
11,947.63 |
|
9.31% |
PIMCO RAE PLUS
EMG C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
13,857.79 |
|
10.79% |
PIMCO RAE PLUS
EMG C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
15,579.52 |
|
12.14% |
PIMCO RAE PLUS
EMG C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
9,515.10 |
|
7.41%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS
SMALL C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
14,534.93 |
|
5.39% |
PIMCO RAE PLUS
SMALL C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
65,753.76 |
|
24.40% |
PIMCO RAE PLUS
SMALL C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
24,223.54 |
|
8.99% |
PIMCO RAE PLUS
SMALL C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
113,736.81 |
* |
42.21% |
PIMCO RAE PLUS
SMALL C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
16,858.05 |
|
6.26% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
16,470.26 |
|
10.18% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
8,216.00 |
|
5.08% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
44,109.63 |
* |
27.26% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
19,330.62 |
|
11.95% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
9,428.67 |
|
5.83% |
PIMCO RAE
WORLDWIDE
LONG/SHORT PLUS
C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
48,200.67 |
* |
29.79% |
PIMCO REAL
RETURN C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
269,791.35 |
|
5.74% |
PIMCO REAL
RETURN C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
337,781.44 |
|
7.19% |
PIMCO REAL
RETURN C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
314,022.92 |
|
6.68% |
PIMCO REAL
RETURN C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
609,682.70 |
|
12.97% |
PIMCO REAL
RETURN C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
475,882.03 |
|
10.13% |
PIMCO REAL
RETURN C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
277,639.33 |
|
5.91% |
PIMCO REAL
RETURN C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
820,785.46 |
|
17.46% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO REAL
RETURN C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
332,149.67 |
|
7.07% |
PIMCO REAL
RETURN C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
804,535.83 |
|
17.12% |
PIMCO
REALESTATEREALRETURN
STRAT C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
42,272.34 |
|
13.48% |
PIMCO
REALESTATEREALRETURN
STRAT C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
53,599.69 |
|
17.09% |
PIMCO
REALESTATEREALRETURN
STRAT C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
94,916.28 |
* |
30.27% |
PIMCO
REALESTATEREALRETURN
STRAT C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
33,147.63 |
|
10.57% |
PIMCO
REALESTATEREALRETURN
STRAT C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
27,114.82 |
|
8.65% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
1,405,395.94 |
|
18.46% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
832,757.68 |
|
10.94% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
681,957.21 |
|
8.96% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,023,635.68 |
|
13.44% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
436,065.23 |
|
5.73% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,714,689.24 |
|
22.52% |
PIMCO STOCKSPLUS
C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
345,436.72 |
|
6.42% |
PIMCO STOCKSPLUS
C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
412,466.78 |
|
7.67% |
PIMCO STOCKSPLUS
C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
282,562.79 |
|
5.25%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
414,821.47 |
|
7.71% |
PIMCO STOCKSPLUS
C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
992,961.75 |
|
18.46% |
PIMCO STOCKSPLUS
C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
410,865.79 |
|
7.64% |
PIMCO STOCKSPLUS
C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,058,947.46 |
|
19.68% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
40,441.64 |
* |
34.80% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
8,183.75 |
|
7.04% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
12,757.30 |
|
10.98% |
PIMCO STOCKSPLUS
INTL (UNHEDGED) C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
9,201.36 |
|
7.92% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
346,451.85 |
|
5.92%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
420,376.34 |
|
7.18% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
634,510.87 |
|
10.84% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
562,238.28 |
|
9.60% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
728,430.22 |
|
12.44% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
300,736.43 |
|
5.14% |
PIMCO STOCKSPLUS
INTL (USD-HDG) C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,718,467.55 |
* |
29.36% |
PIMCO STOCKSPLUS
SHORT C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
59,587.38 |
|
10.45% |
PIMCO STOCKSPLUS
SHORT C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
52,890.95 |
|
9.28% |
PIMCO STOCKSPLUS
SHORT C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
39,003.24 |
|
6.84%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
SHORT C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
337,276.67 |
* |
59.17% |
PIMCO STOCKSPLUS
SHORT C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
60,060.80 |
|
10.54% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
299,029.41 |
|
6.95% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
304,387.09 |
|
7.08% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
594,324.42 |
|
13.82% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,036,269.51 |
|
24.10% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
222,419.30 |
|
5.17% |
PIMCO STOCKSPLUS
SMALL C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
713,670.26 |
|
16.60% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN C |
C |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
741,699.25 |
|
5.36% |
PIMCO TOTAL
RETURN C |
C |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
1,046,321.17 |
|
7.56% |
PIMCO TOTAL
RETURN C |
C |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,600,381.16 |
|
11.57% |
PIMCO TOTAL
RETURN C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,227,040.57 |
|
8.87% |
PIMCO TOTAL
RETURN C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
982,498.02 |
|
7.10% |
PIMCO TOTAL
RETURN C |
C |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
1,027,343.26 |
|
7.42% |
PIMCO TOTAL
RETURN C |
C |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,702,173.31 |
|
12.30% |
PIMCO TOTAL
RETURN C |
C |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,380,603.59 |
|
9.98% |
PIMCO TOTAL
RETURN C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
2,610,918.43 |
|
18.87% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN ESG FUND
C |
C |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,827.51 |
|
5.54% |
PIMCO TOTAL
RETURN ESG FUND
C |
C |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
SC1 FL 12, NEW YORK NY
10004-1932 |
19,347.66 |
|
22.22% |
PIMCO TOTAL
RETURN ESG FUND
C |
C |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
7,478.66 |
|
8.59% |
PIMCO TOTAL
RETURN ESG FUND
C |
C |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
38,228.91 |
* |
43.91% |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
22,776.23 |
|
8.16% |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
37,136.97 |
|
13.30% |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
31,665.33 |
|
11.34% |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
15,682.66 |
|
5.62%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
19,644.71 |
|
7.03% |
PIMCO CA
INTERMEDIATE
MUNI BOND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
125,406.63 |
* |
44.91% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
16,597.52 |
|
6.03% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
20,344.21 |
|
7.39% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
62,655.67 |
|
22.77% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
33,195.25 |
|
12.06% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
47,723.78 |
|
17.34% |
PIMCO CALIFORNIA
MUNICIPAL BOND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
71,785.93 |
* |
26.09% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
355,978.18 |
|
5.23%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
578,290.17 |
|
8.50% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
415,477.19 |
|
6.11% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
513,012.45 |
|
7.54% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
435,827.96 |
|
6.41% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
384,554.94 |
|
5.65% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
505,622.10 |
|
7.43% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
756,870.40 |
|
11.13% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
605,328.23 |
|
8.90% |
PIMCO HIGH YIELD
MUNICIPAL BOND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,943,808.22 |
* |
28.57% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
154,958.86 |
|
6.25% |
PIMCO LOW
DURATION C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
131,727.23 |
|
5.31% |
PIMCO LOW
DURATION C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
274,723.21 |
|
11.08% |
PIMCO LOW
DURATION C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
131,540.00 |
|
5.31% |
PIMCO LOW
DURATION C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
183,658.76 |
|
7.41% |
PIMCO LOW
DURATION C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
185,630.24 |
|
7.49% |
PIMCO LOW
DURATION C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
328,350.24 |
|
13.25% |
PIMCO LOW
DURATION C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
788,511.54 |
* |
31.81% |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
47,542.35 |
|
9.68%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
95,323.99 |
|
19.40% |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
66,641.77 |
|
13.56% |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
96,310.87 |
|
19.60% |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
48,361.57 |
|
9.84% |
PIMCO LOW
DURATION CREDIT
FUND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
75,039.89 |
|
15.27% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,389,589.63 |
|
6.01% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
2,093,836.94 |
|
9.06% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
2,197,049.83 |
|
9.51% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,693,052.10 |
|
11.65% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
2,062,273.96 |
|
8.92% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,490,882.81 |
|
6.45% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,947,503.02 |
|
8.43% |
PIMCO LOW
DURATION INCOME
C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
6,471,858.89 |
* |
28.00% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
184,713.33 |
|
5.88% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
174,689.16 |
|
5.56% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
170,414.57 |
|
5.42% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
MLPF&S FOR THE SOLE
BENEFIT OF ITS CUSTOMERS
ATTN FUND ADMN/#XXM
4800 DEER LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
351,011.99 |
|
11.17% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
528,957.48 |
|
16.83% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MUNICIPAL
BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
262,437.67 |
|
8.35% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
326,215.49 |
|
10.38% |
PIMCO MUNICIPAL
BOND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
683,461.44 |
|
21.75% |
PIMCO NATL
INTERMEDIATE
MUNI BOND C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
50,815.09 |
|
10.42% |
PIMCO NATL
INTERMEDIATE
MUNI BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
167,559.73 |
* |
34.36% |
PIMCO NATL
INTERMEDIATE
MUNI BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
180,823.39 |
* |
37.08% |
PIMCO NATL
INTERMEDIATE
MUNI BOND C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
31,831.41 |
|
6.53% |
PIMCO NEW YORK
MUNICIPAL BOND C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
571,503.85 |
* |
53.96% |
PIMCO NEW YORK
MUNICIPAL BOND C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
87,960.01 |
|
8.31%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO NEW YORK
MUNICIPAL BOND C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
63,327.70 |
|
5.98% |
PIMCO NEW YORK
MUNICIPAL BOND C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
110,586.50 |
|
10.44% |
PIMCO NEW YORK
MUNICIPAL BOND C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
117,381.33 |
|
11.08% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
28,229.91 |
|
7.67% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
22,167.31 |
|
6.03% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
22,648.87 |
|
6.16% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
53,841.56 |
|
14.64% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
28,169.42 |
|
7.66% |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
20,473.83 |
|
5.57%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
DURATION MUNI
INCOME C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
145,463.36 |
* |
39.54% |
PIMCO SHORT-TERM
C |
CII |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTORY ACCT
FBO CUSTOMERS ATTN
MUTUAL FUNDS 211 MAIN
ST, SAN FRANCISCO CA
94105-1901 |
453,169.72 |
|
8.39% |
PIMCO SHORT-TERM
C |
CII |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
443,767.94 |
|
8.22% |
PIMCO SHORT-TERM
C |
CII |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
615,251.48 |
|
11.39% |
PIMCO SHORT-TERM
C |
CII |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS ATTN MUTUAL
FUNDS DEPT XTH FLOOR 499
WASHINGTON BLVD, JERSEY
CITY NJ 07310-1995 |
513,516.80 |
|
9.51% |
PIMCO SHORT-TERM
C |
CII |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
697,294.17 |
|
12.91% |
PIMCO SHORT-TERM
C |
CII |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
388,792.61 |
|
7.20% |
PIMCO SHORT-TERM
C |
CII |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,477,283.28 |
* |
27.36% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
1,969,579.27 |
|
10.27% |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,477,363.95 |
|
12.92% |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,329,546.20 |
|
17.36% |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
5,291,527.70 |
* |
27.59% |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,885,138.96 |
|
9.83% |
PIMCO ALL ASSET
ALL AUTHORITY I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
2,216,385.90 |
|
11.56% |
PIMCO ALL ASSET
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,624,736.14 |
|
7.56% |
PIMCO ALL ASSET
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
7,170,800.41 |
|
20.67% |
PIMCO ALL ASSET
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
10,545,300.45 |
* |
30.39% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
8,662,791.98 |
|
24.97% |
PIMCO ALL ASSET
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
2,129,059.49 |
|
6.14% |
PIMCO CA
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
694,930.63 |
* |
28.78% |
PIMCO CA
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,196,665.10 |
* |
49.56% |
PIMCO CA
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
370,233.58 |
|
15.33% |
PIMCO CA SHORT
DURATION MUNI
INC I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,433,901.49 |
* |
64.36% |
PIMCO CA SHORT
DURATION MUNI
INC I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
154,526.99 |
|
6.94% |
PIMCO CA SHORT
DURATION MUNI
INC I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
128,063.72 |
|
5.75% |
PIMCO CA SHORT
DURATION MUNI
INC I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
437,792.98 |
|
19.65% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CALIFORNIA
MUNICIPAL BOND
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,198,682.60 |
* |
43.28% |
PIMCO CALIFORNIA
MUNICIPAL BOND
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,180,968.61 |
* |
42.93% |
PIMCO CLIMATE
BOND I-2 |
I-2 |
** |
ALLIANZ FUND
INVESTMENTS INC 1633
BROADWAY NEW YORK, NY
10019 |
1,165.22 |
|
8.40% |
PIMCO CLIMATE
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
8,145.65 |
* |
58.70% |
PIMCO CLIMATE
BOND I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,760.56 |
|
12.69% |
PIMCO CLIMATE
BOND I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,800.72 |
|
20.18% |
PIMCO
COMMODITIESPLUS
STRATEGY I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
15,843,124.02 |
|
5.07% |
PIMCO
COMMODITIESPLUS
STRATEGY I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
276,291,374.59 |
* |
88.35% |
PIMCO
COMMODITYREAL-
RETURN STRAT I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
10,368,827.17 |
|
13.58% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITYREAL-
RETURN STRAT I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
50,731,090.22 |
* |
66.46% |
PIMCO
COMMODITYREAL-
RETURN STRAT I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,976,725.86 |
|
6.52% |
PIMCO CREDIT
OPPORTUNITIES
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,625,039.94 |
|
19.67% |
PIMCO CREDIT
OPPORTUNITIES
BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
9,349,831.80 |
* |
70.07% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,249,112.12 |
|
9.04% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,278,322.66 |
|
23.72% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,001,638.82 |
|
21.72% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,041,678.82 |
|
14.77% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,209,965.74 |
|
8.75% |
PIMCO DIVERSIFIED
INCOME I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,658,345.34 |
|
12.00% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,647,591.99 |
|
8.86% |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
7,117,150.38 |
* |
38.27% |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,990,261.21 |
|
21.46% |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,456,516.73 |
|
7.83% |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,052,462.36 |
|
5.66% |
PIMCO DYNAMIC
BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
2,171,809.30 |
|
11.68% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
5,645,220.01 |
|
24.02% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
4,517,583.12 |
|
19.22% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,438,629.00 |
|
14.63% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
3,275,909.00 |
|
13.94% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,871,384.59 |
|
12.22% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,397,910.54 |
|
5.95% |
PIMCO EM LOCAL
CURRENCY AND
BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,414,360.39 |
|
6.02% |
PIMCO EMERGING
MARKETS BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
5,594,178.88 |
|
6.85% |
PIMCO EMERGING
MARKETS BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,643,804.22 |
|
5.69% |
PIMCO EMERGING
MARKETS BOND I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
61,398,356.97 |
* |
75.20% |
PIMCO EMG MKT
CURR &
SHORT-TERM I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
98,679.44 |
|
10.65% |
PIMCO EMG MKT
CURR &
SHORT-TERM I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
103,715.24 |
|
11.19% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EMG MKT
CURR &
SHORT-TERM I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
577,141.65 |
* |
62.26% |
PIMCO EMG MKT
CURR &
SHORT-TERM I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
69,729.68 |
|
7.52% |
PIMCO EXTENDED
DURATION I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
765,007.52 |
* |
46.00% |
PIMCO EXTENDED
DURATION I-2 |
I-2 |
** |
MASSACHUSETTS MUTUAL
LIFE INSURANCE 1295 STATE
STREET MIP M200-INVST,
SPRINGFIELD MA 01111-0001 |
438,597.84 |
* |
26.38% |
PIMCO EXTENDED
DURATION I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
409,234.50 |
|
24.61% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,094,404.94 |
|
15.94% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,469,167.49 |
|
21.40% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,213,635.34 |
|
17.68% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
834,095.40 |
|
12.15% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
514,939.03 |
|
7.50% |
PIMCO GLOBAL
BOND OPP
(USD-HEDGED) I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,279,946.82 |
|
18.65% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
126,099.44 |
|
6.41% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
627,952.42 |
* |
31.94% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
156,085.91 |
|
7.94% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
108,286.81 |
|
5.51% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
545,593.77 |
* |
27.75% |
PIMCO GLOBAL
CORE ASSET
ALLOCATION I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
271,678.02 |
|
13.82% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GNMA AND
GOV SECURITIES I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
7,210,714.66 |
|
13.38% |
PIMCO GNMA AND
GOV SECURITIES I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
7,412,187.27 |
|
13.76% |
PIMCO GNMA AND
GOV SECURITIES I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
5,412,853.17 |
|
10.04% |
PIMCO GNMA AND
GOV SECURITIES I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
23,204,242.40 |
* |
43.06% |
PIMCO GNMA AND
GOV SECURITIES I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
4,913,209.37 |
|
9.12% |
PIMCO
GOVERNMENT
MONEY MARKET I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
13,808,378.00 |
* |
60.64% |
PIMCO
GOVERNMENT
MONEY MARKET I-2 |
I-2 |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
4,090,637.40 |
|
17.97% |
PIMCO HIGH YIELD
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
11,338,020.04 |
* |
29.03% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,085,374.23 |
|
7.90% |
PIMCO HIGH YIELD
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,782,873.64 |
|
12.25% |
PIMCO HIGH YIELD
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
12,824,721.67 |
* |
32.84% |
PIMCO HIGH YIELD
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
2,743,858.79 |
|
7.03% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
9,899,007.32 |
|
6.31% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
38,998,381.55 |
|
24.85% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
30,172,031.43 |
|
19.22% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
21,488,431.39 |
|
13.69% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
8,842,961.36 |
|
5.63% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
13,983,799.74 |
|
8.91%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
29,491,302.01 |
|
18.79% |
PIMCO HIGH YIELD
SPECTRUM I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,680,307.34 |
|
10.62% |
PIMCO HIGH YIELD
SPECTRUM I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
13,058,820.09 |
* |
82.56% |
PIMCO INCOME I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
368,929,179.75 |
|
9.38% |
PIMCO INCOME I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
725,047,861.03 |
|
18.43% |
PIMCO INCOME I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
599,469,316.79 |
|
15.24% |
PIMCO INCOME I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
731,518,395.68 |
|
18.60% |
PIMCO INCOME I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
619,899,688.72 |
|
15.76% |
PIMCO INCOME I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
338,347,986.41 |
|
8.60%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
348,030,781.77 |
|
8.85% |
PIMCO INFLATION
RESPONSE M-A I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,150,784.34 |
* |
43.17% |
PIMCO INFLATION
RESPONSE M-A I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
3,002,664.83 |
* |
31.23% |
PIMCO INFLATION
RESPONSE M-A I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI ACCOUNT M/F
SPEC CDY A C EXL BEN
CUST UBSFSI 1000 HARBOR
BLVD, WEEHAWKEN NJ
07086-6761 |
1,344,801.55 |
|
13.99% |
PIMCO INTL BOND
(UNHEDGED) I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
2,881,465.22 |
|
15.23% |
PIMCO INTL BOND
(UNHEDGED) I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,150,686.52 |
|
6.08% |
PIMCO INTL BOND
(UNHEDGED) I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,190,609.91 |
|
11.58% |
PIMCO INTL BOND
(UNHEDGED) I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
8,655,328.33 |
* |
45.75% |
PIMCO INTL BOND
(UNHEDGED) I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,463,311.58 |
|
7.73%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INTL BOND
(USD-HEDGED) I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
28,106,142.58 |
|
7.18% |
PIMCO INTL BOND
(USD-HEDGED) I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
289,557,025.75 |
* |
74.02% |
PIMCO INTL BOND
(USD-HEDGED) I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
27,034,422.46 |
|
6.91% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
54,292,422.56 |
|
8.57% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
412,283,334.00 |
* |
65.07% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
39,014,376.40 |
|
6.16% |
PIMCO
INVESTMENT
GRADE CREDIT
BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
79,565,517.04 |
|
12.56% |
PIMCO LONG
DURATION TOTAL
RETURN I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
5,262,276.57 |
* |
30.20% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG
DURATION TOTAL
RETURN I-2 |
I-2 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,564,567.84 |
|
14.72% |
PIMCO LONG
DURATION TOTAL
RETURN I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,422,045.60 |
* |
25.37% |
PIMCO LONG
DURATION TOTAL
RETURN I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,573,909.60 |
|
9.03% |
PIMCO LONG
DURATION TOTAL
RETURN I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
3,058,165.39 |
|
17.55% |
PIMCO LONG-TERM
CREDIT BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,826,368.20 |
|
22.20% |
PIMCO LONG-TERM
CREDIT BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,924,189.20 |
|
8.85% |
PIMCO LONG-TERM
CREDIT BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
8,920,151.48 |
* |
41.04% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG-TERM
CREDIT BOND I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,895,982.25 |
|
13.32% |
PIMCO LONG-TERM
CREDIT BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1102 |
1,874,070.65 |
|
8.62% |
PIMCO LONG-TERM
REAL RETURN I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
627,884.74 |
* |
74.85% |
PIMCO LONG-TERM
REAL RETURN I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
129,626.52 |
|
15.45% |
PIMCO LONG-TERM
US GOVERNMENT
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,741,809.71 |
|
16.14% |
PIMCO LONG-TERM
US GOVERNMENT
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,893,458.18 |
|
17.54% |
PIMCO LONG-TERM
US GOVERNMENT
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,526,610.59 |
|
14.14% |
PIMCO LONG-TERM
US GOVERNMENT
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,214,886.94 |
* |
39.05% |
PIMCO LONG-TERM
US GOVERNMENT
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,099,462.14 |
|
10.19% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION CREDIT
FUND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
437,570.61 |
* |
59.32% |
PIMCO LOW
DURATION CREDIT
FUND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
138,121.62 |
|
18.72% |
PIMCO LOW
DURATION CREDIT
FUND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
65,366.80 |
|
8.86% |
PIMCO LOW
DURATION ESG I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,127,515.73 |
|
14.38% |
PIMCO LOW
DURATION ESG I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
600,983.65 |
|
7.67% |
PIMCO LOW
DURATION ESG I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,836,262.93 |
* |
61.70% |
PIMCO LOW
DURATION I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
7,482,622.37 |
|
11.26% |
PIMCO LOW
DURATION I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
5,679,943.46 |
|
8.55% |
PIMCO LOW
DURATION I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
17,534,438.92 |
* |
26.39% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
5,784,281.46 |
|
8.70% |
PIMCO LOW
DURATION I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
21,901,208.43 |
* |
32.96% |
PIMCO LOW
DURATION INCOME
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
48,816,378.42 |
|
8.61% |
PIMCO LOW
DURATION INCOME
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
91,541,547.72 |
|
16.15% |
PIMCO LOW
DURATION INCOME
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
63,834,987.03 |
|
11.26% |
PIMCO LOW
DURATION INCOME
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
285,705,304.36 |
* |
50.40% |
PIMCO LOW
DURATION INCOME
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
31,100,692.60 |
|
5.49% |
PIMCO LOW
DURATION
OPPORTUNITIES I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
2,049,859.79 |
* |
40.23% |
PIMCO LOW
DURATION
OPPORTUNITIES I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,281,173.45 |
* |
44.77% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION
OPPORTUNITIES I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
376,147.98 |
|
7.38% |
PIMCO MODERATE
DURATION I-2 |
I-2 |
|
EMPOWER TRUST FBO
EMPLOYEE BENEFITS
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
84,298.62 |
|
17.41% |
PIMCO MODERATE
DURATION I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
203,804.76 |
* |
42.09% |
PIMCO MODERATE
DURATION I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
88,032.68 |
|
18.18% |
PIMCO MODERATE
DURATION I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
81,127.28 |
|
16.76% |
PIMCO MORTGAGE
OPP AND BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
66,403,705.77 |
|
24.03% |
PIMCO MORTGAGE
OPP AND BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
46,518,427.12 |
|
16.83% |
PIMCO MORTGAGE
OPP AND BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
77,106,309.30 |
* |
27.90% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MORTGAGE
OPP AND BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
23,750,843.89 |
|
8.59% |
PIMCO MORTGAGE
OPP AND BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
31,639,864.62 |
|
11.45% |
PIMCO
MORTGAGE-BACKED
SECURITIES I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
557,243.76 |
|
12.61% |
PIMCO
MORTGAGE-BACKED
SECURITIES I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
3,425,035.89 |
* |
77.49% |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
20,491,376.85 |
|
19.43% |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
15,108,275.27 |
|
14.33% |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
10,357,637.78 |
|
9.82% |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
10,545,553.71 |
|
10.00% |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
7,919,805.66 |
|
7.51%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MUNICIPAL
BOND I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
31,091,364.59 |
* |
29.48% |
PIMCO NATL
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,150,558.35 |
* |
30.85% |
PIMCO NATL
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
4,953,653.04 |
* |
48.51% |
PIMCO NATL
INTERMEDIATE
MUNI BOND I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,181,253.72 |
|
11.57% |
PIMCO NEW YORK
MUNICIPAL BOND
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,777,729.93 |
* |
32.37% |
PIMCO NEW YORK
MUNICIPAL BOND
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,450,027.77 |
* |
29.56% |
PIMCO NEW YORK
MUNICIPAL BOND
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,117,448.79 |
|
18.14% |
PIMCO NEW YORK
MUNICIPAL BOND
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
702,791.89 |
|
6.02% |
PIMCO NEW YORK
MUNICIPAL BOND
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,399,425.93 |
|
11.99% |
PIMCO PREFERRED
AND CAPITAL SEC
I-2 |
I-2 |
** |
LPL FINANCIAL A/C
XXXX-XXXX 9785 TOWNE
CENTRE DRIVE, SAN DIEGO
CA 92121-1968 |
4,570,376.10 |
* |
31.43% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO PREFERRED
AND CAPITAL SEC
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,954,426.89 |
|
13.44% |
PIMCO PREFERRED
AND CAPITAL SEC
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
1,558,101.96 |
|
10.72% |
PIMCO PREFERRED
AND CAPITAL SEC
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
5,108,228.40 |
* |
35.13% |
PIMCO RAE PLUS
EMG I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
570,238.82 |
* |
72.27% |
PIMCO RAE PLUS
EMG I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
70,172.22 |
|
8.89% |
PIMCO RAE PLUS
EMG I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
85,159.86 |
|
10.79% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
713,151.96 |
|
5.96% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,892,759.09 |
* |
40.90% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,045,670.95 |
|
8.74%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,199,656.41 |
|
10.03% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
632,363.76 |
|
5.29% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
2,200,672.25 |
|
18.40% |
PIMCO RAE PLUS I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
727,612.44 |
|
6.08% |
PIMCO RAE PLUS
INTERNATIONAL I-2 |
I-2 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
4,983.73 |
|
6.01% |
PIMCO RAE PLUS
INTERNATIONAL I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
57,239.83 |
* |
68.97% |
PIMCO RAE PLUS
INTERNATIONAL I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
15,459.87 |
|
18.63% |
PIMCO RAE PLUS
INTERNATIONAL I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
5,307.09 |
|
6.39% |
PIMCO RAE PLUS
SMALL I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
204,668.55 |
|
16.46% |
PIMCO RAE PLUS
SMALL I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
792,811.55 |
* |
63.76% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS
SMALL I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
187,174.54 |
|
15.05% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
69,282.93 |
|
16.70% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
44,136.30 |
|
10.64% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
74,296.16 |
|
17.91% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
49,421.13 |
|
11.91% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
46,769.73 |
|
11.27% |
PIMCO RAE WW
LONG/SHORT PLUS
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
101,453.24 |
|
24.46% |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
12,380,430.62 |
|
18.98% |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
14,485,104.05 |
|
22.21% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
14,355,132.80 |
|
22.01% |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
3,635,318.11 |
|
5.57% |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
7,436,371.22 |
|
11.40% |
PIMCO REAL
RETURN I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
5,707,781.66 |
|
8.75% |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
40,392.97 |
|
6.99% |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
171,989.85 |
* |
29.76% |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
31,270.27 |
|
5.41% |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
52,165.44 |
|
9.03% |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
50,816.47 |
|
8.79%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
REALESTATEREAL
RETURN STRAT I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
73,127.32 |
|
12.65% |
PIMCO SHORT
ASSET INVESTMENT
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,021,254.22 |
* |
27.73% |
PIMCO SHORT
ASSET INVESTMENT
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
7,369,531.75 |
* |
50.82% |
PIMCO SHORT
ASSET INVESTMENT
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
947,491.21 |
|
6.53% |
PIMCO SHORT
ASSET INVESTMENT
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,192,327.66 |
|
8.22% |
PIMCO SHORT
DURATION MUNI
INCOME I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
5,672,888.23 |
* |
48.14% |
PIMCO SHORT
DURATION MUNI
INCOME I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
2,855,375.31 |
|
24.23% |
PIMCO SHORT
DURATION MUNI
INCOME I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
858,082.17 |
|
7.28% |
PIMCO SHORT
DURATION MUNI
INCOME I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
1,441,102.90 |
|
12.23% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT-TERM
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
39,626,006.38 |
|
18.18% |
PIMCO SHORT-TERM
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
20,548,626.44 |
|
9.43% |
PIMCO SHORT-TERM
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
101,750,101.90 |
* |
46.68% |
PIMCO SHORT-TERM
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
15,931,120.11 |
|
7.31% |
PIMCO SHORT-TERM
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
19,687,569.30 |
|
9.03% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,792,070.70 |
|
6.46% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,129,890.95 |
|
14.90% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
2,445,814.52 |
|
8.82% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
1,854,024.03 |
|
6.69%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
5,034,156.86 |
|
18.16% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,129,719.39 |
|
11.29% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
5,243,036.62 |
|
18.91% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
3,101,831.50 |
|
11.19% |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,283,632.24 |
|
15.42% |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
1,896,845.40 |
|
22.79% |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
753,483.65 |
|
9.05% |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
949,709.72 |
|
11.41% |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
2,067,970.31 |
|
24.85% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
750,800.20 |
|
9.02% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
547,311.40 |
|
21.67% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,056,478.27 |
* |
41.83% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
178,069.62 |
|
7.05% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
165,261.63 |
|
6.54% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
129,586.85 |
|
5.13% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
301,433.97 |
|
11.93% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
13,499,764.93 |
|
12.75% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
13,724,557.13 |
|
12.96% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
20,728,784.07 |
|
19.58% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
21,051,493.61 |
|
19.88% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
5,699,499.62 |
|
5.38% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
7,168,248.30 |
|
6.77% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
10,833,444.05 |
|
10.23% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
9,964,384.17 |
|
9.41% |
PIMCO STOCKSPLUS
SHORT I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,369,588.28 |
* |
37.88% |
PIMCO STOCKSPLUS
SHORT I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,805,845.18 |
* |
42.79% |
PIMCO STOCKSPLUS
SHORT I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
576,460.55 |
|
6.48%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
SHORT I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
673,048.04 |
|
7.57% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
AMERICAN ENTERPRISE
INVESTMENT SVC FBO
#XXXXXXXX 707 2ND AVE
SOUTH, MINNEAPOLIS MN
55402-2405 |
1,239,488.56 |
|
10.72% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
2,459,505.85 |
|
21.27% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
1,166,197.20 |
|
10.08% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
885,359.83 |
|
7.66% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
795,224.23 |
|
6.88% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
708,293.69 |
|
6.12% |
PIMCO STOCKSPLUS
SMALL I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
2,767,783.25 |
|
23.93% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN ESG I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
3,529,882.81 |
|
11.06% |
PIMCO TOTAL
RETURN ESG I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
6,446,337.38 |
|
20.19% |
PIMCO TOTAL
RETURN ESG I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,056,167.31 |
|
6.44% |
PIMCO TOTAL
RETURN ESG I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,737,674.77 |
|
11.71% |
PIMCO TOTAL
RETURN ESG I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
12,929,341.15 |
* |
40.49% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
84,439,767.19 |
|
15.24% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS 4800 DEER
LAKE DR E FL 3,
JACKSONVILLE FL
32246-6484 |
62,234,434.76 |
|
11.23% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
108,480,648.16 |
|
19.58% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
37,258,055.24 |
|
6.72% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
40,644,936.19 |
|
7.33% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
RAYMOND JAMES OMNIBUS
FOR MUTUAL FUNDS HOUSE
ACCT FIRM XXXXXXXX
ATTN COURTNEY WALLER,
880 CARILLON PKWY, ST
PETERSBURG FL 33716-1100 |
158,155,818.77 |
* |
28.54% |
PIMCO TOTAL
RETURN I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
35,869,889.09 |
|
6.47% |
PIMCO TOTAL
RETURN II I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,344,467.54 |
* |
92.73% |
PIMCO TRENDS
MGD FUTURES
STRAT I-2 |
I-2 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
4,524,662.64 |
|
14.43% |
PIMCO TRENDS
MGD FUTURES
STRAT I-2 |
I-2 |
** |
MORGAN STANLEY SMITH
BARNEY LLC FOR THE
EXCLUSIVE BENE OF ITS
CUST 1 NEW YORK PLZ FL
12, NEW YORK NY 10004-1965 |
3,288,778.72 |
|
10.49% |
PIMCO TRENDS
MGD FUTURES
STRAT I-2 |
I-2 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,083,882.41 |
|
19.41% |
PIMCO TRENDS
MGD FUTURES
STRAT I-2 |
I-2 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
13,420,885.07 |
* |
42.82% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TRENDS
MGD FUTURES
STRAT I-2 |
I-2 |
** |
UBS WM USA XOX XXXXX
XXXX OMNI A/C M/F SPEC
CDY A/C EXCL BEN CUST
UBSFSI 1000 HARBOR BLVD,
WEEHAWKEN NJ 07086-6761 |
3,186,880.99 |
|
10.17% |
PIMCO ALL ASSET
ALL AUTHORITY I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
211,393.08 |
* |
100.00% |
PIMCO ALL ASSET
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,936,384.11 |
* |
62.17% |
PIMCO ALL ASSET
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,169,121.79 |
* |
37.53% |
PIMCO CLIMATE
BOND I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
33,658.50 |
* |
70.17% |
PIMCO CLIMATE
BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
13,143.92 |
* |
27.40%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITIESPLUS
STRATEGY I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,554,255.90 |
* |
47.00% |
PIMCO
COMMODITIESPLUS
STRATEGY I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,705,668.09 |
* |
51.58% |
PIMCO
COMMODITYREAL-
RETURN STRAT I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,413,202.41 |
* |
97.97% |
PIMCO DIVERSIFIED
INCOME I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,648,959.07 |
* |
97.27% |
PIMCO DYNAMIC
BOND I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
265,912.28 |
|
23.84% |
PIMCO DYNAMIC
BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
849,311.22 |
* |
76.15% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EM LOCAL
CURRENCY AND
BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,787,174.25 |
* |
98.61% |
PIMCO EMERGING
MARKETS BOND
CLASS I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
491,055.52 |
* |
25.29% |
PIMCO EMERGING
MARKETS BOND
CLASS I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,429,569.27 |
* |
73.63% |
PIMCO GNMA AND
GOV SECURITIES I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
8,847,128.93 |
* |
98.18% |
PIMCO HIGH YIELD
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,019,604.07 |
* |
95.49% |
PIMCO HIGH YIELD
MUNICIPAL BOND
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
5,517,559.87 |
* |
97.94% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
SPECTRUM I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
56,739.08 |
* |
100.00% |
PIMCO INCOME I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
54,348,332.81 |
|
23.01% |
PIMCO INCOME I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
165,395,190.07 |
* |
70.04% |
PIMCO INTL BOND
(UNHEDGED) I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,404,776.12 |
* |
80.40% |
PIMCO INTL BOND
(UNHEDGED) I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
836,351.43 |
|
15.27% |
PIMCO INTL BOND
(USD-HEDGED) I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
4,301,700.26 |
|
22.72% |
PIMCO INTL BOND
(USD-HEDGED) I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
13,133,675.84 |
* |
69.36% |
PIMCO INTL BOND
(USD-HEDGED) I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,399,982.72 |
|
7.39%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
INVESTMENT
GRADE CREDIT
BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
11,712,052.73 |
* |
96.81% |
PIMCO LOW
DURATION I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,254,789.26 |
* |
45.93% |
PIMCO LOW
DURATION I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,584,967.98 |
* |
52.65% |
PIMCO LOW
DURATION INCOME
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,014,556.44 |
|
7.60% |
PIMCO LOW
DURATION INCOME
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
11,402,407.25 |
* |
85.44% |
PIMCO LOW
DURATION INCOME
I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
918,202.45 |
|
6.88% |
PIMCO MORTGAGE
OPP AND BOND I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
975,941.65 |
|
11.34% |
PIMCO MORTGAGE
OPP AND BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
7,494,936.24 |
* |
87.08% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
MORTGAGE-BACKED
SECURITIES I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
3,096.29 |
|
5.36% |
PIMCO
MORTGAGE-BACKED
SECURITIES I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
54,626.63 |
* |
94.64% |
PIMCO MUNICIPAL
BOND I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
82,156.76 |
|
5.22% |
PIMCO MUNICIPAL
BOND I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,491,338.45 |
* |
94.78% |
PIMCO NEW YORK
MUNICIPAL BOND
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
107,869.71 |
* |
100.00% |
PIMCO PREFERRED
AND CAPITAL SEC
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,049,886.98 |
* |
99.05%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
43,964.43 |
|
23.13% |
PIMCO RAE PLUS I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
143,578.82 |
* |
75.53% |
PIMCO REAL
RETURN I-3 |
I-3 |
** |
LPL FINANCIAL OMNIBUS
CUSTOMER ACCOUNT ATTN
MUTUAL FUND TRADING
4707 EXECUTIVE DR, SAN
DIEGO CA 92121-3091 |
303,185.24 |
|
14.51% |
PIMCO REAL
RETURN I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,678,275.38 |
* |
80.30% |
PIMCO
REALESTATEREALRETURN
STRAT I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
53,312.79 |
* |
96.61% |
PIMCO SHORT
ASSET INVESTMENT
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,509,577.75 |
* |
99.83% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
DURATION MUNI
INCOME I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
161,532.10 |
|
11.94% |
PIMCO SHORT
DURATION MUNI
INCOME I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,184,412.88 |
* |
87.58% |
PIMCO SHORT-TERM
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
595,300.50 |
|
7.56% |
PIMCO SHORT-TERM
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,031,186.39 |
* |
76.61% |
PIMCO SHORT-TERM
I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,231,203.21 |
|
15.64% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
343,436.43 |
* |
29.92% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
789,020.97 |
* |
68.73% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
713,306.99 |
|
23.27% |
PIMCO STOCKSPLUS
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,350,059.55 |
* |
76.68% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
645,010.67 |
* |
45.37% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
757,184.22 |
* |
53.26% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,024,514.99 |
* |
38.52% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,687,581.18 |
* |
51.13% |
PIMCO STOCKSPLUS
INTL (USD-HDG) I-3 |
I-3 |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
310,052.41 |
|
5.90%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
SHORT I-3 |
I-3 |
|
MID ATLANTIC TRUST
COMPANY FBO MATC FOR
VARIOUS GROSCHUP
MARTIN WE 1251
WATERFRONT PLACE SUITE
525, PITTSBURGH PA
15222-4228 |
21,616.18 |
|
8.19% |
PIMCO STOCKSPLUS
SHORT I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
235,212.05 |
* |
89.11% |
PIMCO STOCKSPLUS
SMALL I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
193,980.25 |
* |
32.08% |
PIMCO STOCKSPLUS
SMALL I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
395,982.45 |
* |
65.48% |
PIMCO TOTAL
RETURN ESG I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
105,129.88 |
|
12.43% |
PIMCO TOTAL
RETURN ESG I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
737,719.76 |
* |
87.25% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,460,550.41 |
|
8.19% |
PIMCO TOTAL
RETURN I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
15,366,651.69 |
* |
86.22% |
PIMCO TRENDS
MGD FUTURES
STRAT I-3 |
I-3 |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,438,310.17 |
* |
40.37% |
PIMCO TRENDS
MGD FUTURES
STRAT I-3 |
I-3 |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,995,167.27 |
* |
56.00% |
PIMCO ALL ASSET
ALL AUTHORITY
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
10,205,437.04 |
|
7.17% |
PIMCO ALL ASSET
ALL AUTHORITY
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
73,192,098.22 |
* |
51.39% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET
ALL AUTHORITY
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
9,082,338.58 |
|
6.38% |
PIMCO ALL ASSET
INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
65,341,188.60 |
|
6.50% |
PIMCO ALL ASSET
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
75,807,419.59 |
|
7.54% |
PIMCO ALL ASSET
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
242,809,298.53 |
|
24.16% |
PIMCO ALL ASSET
INST |
INST |
** |
THE NORTHERN TRUST
COMPANY AS TTEE FBO
WALMART DEFINED
CONTRIBUTION PLAN DV PO
BOX 92994, CHICAGO IL
60680-2994 |
85,010,044.03 |
|
8.46% |
PIMCO CA
INTERMEDIATE
MUNI BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,091,332.40 |
|
18.07% |
PIMCO CA
INTERMEDIATE
MUNI BOND INST |
INST |
** |
MARIL & CO FBO XX C/O
RELIANCE TRUST COMPANY
WI MAILCODE: BDXN -
ATTN: MF 4900 W BROWN
DEER RD, MILWAUKEE WI
53223-2422 |
6,014,107.54 |
* |
51.98% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CA
INTERMEDIATE
MUNI BOND INST |
INST |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
702,890.61 |
|
6.07% |
PIMCO CA
INTERMEDIATE
MUNI BOND INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,101,198.91 |
|
9.52% |
PIMCO CA MUNI
INTERM VALUE
INST |
INST |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS 211
MAIN STREET, SAN
FRANCISCO CA 94105-1901 |
2,308,796.07 |
* |
86.01% |
PIMCO CA MUNI
INTERM VALUE
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
323,773.08 |
|
12.06% |
PIMCO CA MUNI
OPPORT VALUE INST |
INST |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS 211
MAIN STREET, SAN
FRANCISCO CA 94105-1901 |
24,068,816.87 |
* |
88.77% |
PIMCO CA MUNI
OPPORT VALUE INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,444,784.70 |
|
9.02% |
PIMCO CA SHORT
DURATION MUNI
INC INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
5,688,257.18 |
* |
65.44% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CA SHORT
DURATION MUNI
INC INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
644,277.02 |
|
7.41% |
PIMCO CA SHORT
DURATION MUNI
INC INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
701,223.80 |
|
8.07% |
PIMCO CALIFORNIA
MUNICIPAL BOND
INST |
INST |
|
BRENT R HARRIS TTEE
BRENT R HARRIS SEPARATE
PROPERTY TR OF XXXX U/A
DTD X/XX/XX 1633
BROADWAY NEW YORK, NY
10019 |
669,393.72 |
|
10.31% |
PIMCO CALIFORNIA
MUNICIPAL BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
618,724.56 |
|
9.53% |
PIMCO CALIFORNIA
MUNICIPAL BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS, 211 MAIN ST, SAN
FRANCISCO CA 94105-1901 |
2,695,091.44 |
* |
41.52% |
PIMCO CALIFORNIA
MUNICIPAL BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,610,487.38 |
|
24.81% |
PIMCO CALIFORNIA
MUNICIPAL BOND
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
488,314.82 |
|
7.52% |
PIMCO CLIMATE
BOND INST |
INST |
** |
ALLIANZ FUND
INVESTMENTS INC 1633
BROADWAY NEW YORK, NY
10019 |
283,572.12 |
|
14.06% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CLIMATE
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
263,386.49 |
|
13.06% |
PIMCO CLIMATE
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
464,541.41 |
|
23.04% |
PIMCO CLIMATE
BOND INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
174,196.17 |
|
8.64% |
PIMCO CLIMATE
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
194,323.48 |
|
9.64% |
PIMCO CLIMATE
BOND INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
436,269.83 |
|
21.64% |
PIMCO
COMMODITIESPLUS
STRATEGY INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
46,833,022.33 |
|
14.39% |
PIMCO
COMMODITIESPLUS
STRATEGY INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
20,341,918.80 |
|
6.25% |
PIMCO
COMMODITIESPLUS
STRATEGY INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
181,842,963.10 |
* |
55.86% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
COMMODITYREAL-
RETURN STRAT
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
23,757,136.95 |
|
9.48% |
PIMCO
COMMODITYREAL-
RETURN STRAT
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
28,065,738.48 |
|
11.20% |
PIMCO
COMMODITYREAL-
RETURN STRAT
INST |
INST |
** |
WELLS FARGO BANK NA
FBO OMNIBUS ACCT
CASH/CASH PO BOX 1533,
MINNEAPOLIS MN
55480-1533 |
20,334,836.76 |
|
8.11% |
PIMCO
COMMODITYREAL-
RETURN STRAT
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
119,835,316.50 |
* |
47.81% |
PIMCO CREDIT
OPPORTUNITIES
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
5,332,455.12 |
|
23.75% |
PIMCO CREDIT
OPPORTUNITIES
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,343,049.81 |
|
10.43% |
PIMCO CREDIT
OPPORTUNITIES
BOND INST |
INST |
** |
WELLS FARGO BANK NA
FBO OMNIBUS CASH CASH
XXXXX PO BOX 1533,
MINNEAPOLIS MN
55480-1533 |
3,464,108.72 |
|
15.43% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO CREDIT
OPPORTUNITIES
BOND INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
8,252,661.88 |
* |
36.75% |
PIMCO DIVERSIFIED
INCOME INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
16,267,353.27 |
|
5.28% |
PIMCO DIVERSIFIED
INCOME INST |
INST |
|
MAC & CO A/C XXXXXX
ATTN MUTUAL FUND OPS,
PO BOX 3198, PITTSBURGH
PA 15230-3198 |
18,488,496.81 |
|
6.00% |
PIMCO DIVERSIFIED
INCOME INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
84,556,172.59 |
* |
27.42% |
PIMCO DIVERSIFIED
INCOME INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
42,919,837.27 |
|
13.92% |
PIMCO DYNAMIC
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
35,215,466.78 |
|
16.06% |
PIMCO DYNAMIC
BOND INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
39,303,907.61 |
|
17.92% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO DYNAMIC
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
66,322,977.22 |
* |
30.24% |
PIMCO EM FULL
SPECTRUM BOND
INST |
INST |
|
ANNE ARUNDEL COUNTY PO
BOX 2700, ANNAPOLIS MD
21404-2700 |
17,355,313.80 |
* |
40.15% |
PIMCO EM FULL
SPECTRUM BOND
INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
3,363,172.21 |
|
7.78% |
PIMCO EM FULL
SPECTRUM BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
12,365,356.46 |
* |
28.61% |
PIMCO EM FULL
SPECTRUM BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
9,499,728.07 |
|
21.98% |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
13,600,430.50 |
|
7.08% |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
23,091,585.93 |
|
12.01% |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
9,753,069.98 |
|
5.07%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
68,603,509.16 |
* |
35.69% |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
|
STATE STREET BANK FBO
PIMCO EMERGING
MARKETS FULL SPECTRUM
BOND 1633 BROADWAY NEW
YORK, NY 10019 |
21,632,016.89 |
|
11.25% |
PIMCO EM LOCAL
CURRENCY AND
BOND INST |
INST |
** |
WELLS FARGO BANK NA
FBO OMNIBUS ACCT
CASH/CASH PO BOX 1533,
MINNEAPOLIS MN
55480-1533 |
11,227,203.58 |
|
5.84% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
21,335,954.10 |
|
18.95% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
6,917,533.43 |
|
6.15% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
15,388,977.06 |
|
13.67% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
8,756,967.45 |
|
7.78% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
SEI PRIVATE TRUST
COMPANY CO TIAA SWP 1
FREEDOM VALLEY DR,
OAKS PA 19456-9989 |
7,139,881.46 |
|
6.34% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
|
STATE STREET BANK FBO
PIMCO EMERGING
MARKETS FULL SPECTRUM
BOND 1633 BROADWAY NEW
YORK, NY 10019 |
7,777,426.28 |
|
6.91%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
WELLS FARGO BANK NA
FBO OMNIBUS ACCT
CASH/CASH PO BOX 1533,
MINNEAPOLIS MN
55480-1533 |
9,937,789.39 |
|
8.83% |
PIMCO EMERGING
MARKETS BOND
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
12,046,146.09 |
|
10.70% |
PIMCO EMERGING
MKT CORPORATE
BOND INST |
INST |
** |
BAND & CO C/O US BANK
NA PO BOX 1787,
MILWAUKEE WI 53201-1787 |
584,113.00 |
|
5.34% |
PIMCO EMERGING
MKT CORPORATE
BOND INST |
INST |
|
PRTC LUMP SUM
RETIREMENT PLAN TRUST
PO BOX 360998, SAN JUAN
PR 00936-0998 |
719,831.77 |
|
6.59% |
PIMCO EMERGING
MKT CORPORATE
BOND INST |
INST |
|
STATE STREET BANK FBO
PIMCO EMERGING
MARKETS FULL SPECTRUM
BOND 1633 BROADWAY NEW
YORK, NY 10019 |
7,055,031.81 |
* |
64.55% |
PIMCO EMERGING
MKT CORPORATE
BOND INST |
INST |
** |
WELLS FARGO BANK NA
FBO OMNIBUS ACCT
CASH/CASH PO BOX 1533,
MINNEAPOLIS MN
55480-1533 |
643,419.56 |
|
5.89% |
PIMCO EMERGING
MKT CORPORATE
BOND INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,259,146.03 |
|
11.52% |
PIMCO EMG MKT
CURR &
SHORT-TERM INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
3,966,133.72 |
|
6.41% |
PIMCO EMG MKT
CURR &
SHORT-TERM INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
37,056,665.93 |
* |
59.87% |
PIMCO EMG MKT
CURR &
SHORT-TERM INST |
INST |
|
STATE STREET BANK FBO
PIMCO INFLATION
RESPONSE MULTI-ASSET
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
15,602,724.57 |
* |
25.21% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO EXTENDED
DURATION INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
2,554,100.36 |
|
6.80% |
PIMCO EXTENDED
DURATION INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,973,331.57 |
|
5.25% |
PIMCO EXTENDED
DURATION INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
9,392,077.19 |
* |
25.01% |
PIMCO EXTENDED
DURATION INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
2,413,642.35 |
|
6.43% |
PIMCO EXTENDED
DURATION INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
16,493,081.57 |
* |
43.92% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,893,309.44 |
|
6.57% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND INST |
INST |
|
EMPOWER TRUST FBO
WELLS FARGO & CO
GLOBAL BOND 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
11,883,907.67 |
* |
41.24% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,031,948.22 |
|
13.99% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND INST |
INST |
|
SAXON & CO FBO
XXXXXXXXXXXXXX PO
BOX 94597, CLEVELAND OH
44101-4597 |
2,554,473.77 |
|
8.86% |
PIMCO GLOBAL
ADVANTAGE STRAT
BOND INST |
INST |
|
US BANK NA FBO EIGHTH
DISTRICT ELECTRICAL
PENSION FUND PO BOX 1787,
MILWAUKEE WI 53201-1787 |
5,024,687.43 |
|
17.44% |
PIMCO GLOBAL BD
OPP (USD-HEDGED)
INST |
INST |
|
ATTN PLIC PROXY
COORDINATOR PRINCIPAL
LIFE INS COMPANY CUST
FBO PFG OMNIBUS
WRAPPED AND CUSTOM
FUNDS, 711 HIGH STREET,
DES MOINES IA 50392-0001 |
8,099,895.37 |
|
7.64% |
PIMCO GLOBAL BD
OPP (USD-HEDGED)
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
13,729,083.95 |
|
12.95% |
PIMCO GLOBAL BD
OPP (USD-HEDGED)
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
18,187,224.57 |
|
17.15% |
PIMCO GLOBAL BD
OPP (USD-HEDGED)
INST |
INST |
** |
SEI PRIVATE TRUST
COMPANY C O M&T ID XXX
ATTN MUTUAL FUNDS
ADMIN, 1 FREEDOM VALLEY
DR, OAKS PA 19456-9989 |
18,639,919.35 |
|
17.58% |
PIMCO GLOBAL
CORE ASSET ALLOC
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
7,520,642.64 |
* |
63.42% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO GLOBAL
CORE ASSET ALLOC
INST |
INST |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS ATTN: SERVICE
TEAM 4800 DEER LAKE
DRIVE EAST 3RD FL,
JACKSONVILLE FL
32246-6484 |
1,524,419.98 |
|
12.86% |
PIMCO GLOBAL
CORE ASSET ALLOC
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,289,672.59 |
|
10.88% |
PIMCO GNMA AND
GOV SECURITIES
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
5,895,221.24 |
|
9.08% |
PIMCO GNMA AND
GOV SECURITIES
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
20,610,697.69 |
* |
31.74% |
PIMCO GNMA AND
GOV SECURITIES
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
16,758,509.58 |
* |
25.81% |
PIMCO
GOVERNMENT
MONEY MARKET
INST |
INST |
|
MATRIX TRUST COMPANY
CUST FBO DEVENIR GROUP
TPA OMNI ACCOUNT 717
17TH STREET SUITE 1300,
DENVER CO 80202-3304 |
94,462,491.11 |
|
8.04% |
PIMCO
GOVERNMENT
MONEY MARKET
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
61,218,345.08 |
|
5.21%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO
GOVERNMENT
MONEY MARKET
INST |
INST |
|
NAVITUS HEALTH
SOLUTIONS LLC 361
INTEGRITY DR, MADISON WI
53717-1416 |
450,519,915.60 |
* |
38.33% |
PIMCO
GOVERNMENT
MONEY MARKET
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
138,711,386.56 |
|
11.80% |
PIMCO
GOVERNMENT
MONEY MARKET
INST |
INST |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
133,792,090.78 |
|
11.38% |
PIMCO HIGH YIELD
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
90,174,166.33 |
|
10.34% |
PIMCO HIGH YIELD
INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
139,804,257.53 |
|
16.03% |
PIMCO HIGH YIELD
INST |
INST |
** |
FUBON LIFE INSURANCE CO
LTD 9F 108 SECTION 1 TUN
HWA S ROAD, TAIPEI
TAIWAN 10557 |
52,544,169.66 |
|
6.02% |
PIMCO HIGH YIELD
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
310,651,396.99 |
* |
35.62% |
PIMCO HIGH YIELD
MUNICIPAL BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
84,301,276.84 |
* |
34.50% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO HIGH YIELD
MUNICIPAL BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
72,651,472.74 |
* |
29.73% |
PIMCO HIGH YIELD
MUNICIPAL BOND
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
17,612,241.38 |
|
7.21% |
PIMCO HIGH YIELD
MUNICIPAL BOND
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
28,256,944.29 |
|
11.56% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
3,806,014.32 |
|
21.49% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,501,363.37 |
|
14.12% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,837,775.26 |
|
10.38% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
|
PRIME THERAPEUTICS LLC
ATTN TREASURY, 2900 AMES
CROSSING RD, EAGAN MN
55121-2498 |
1,440,201.24 |
|
8.13% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
** |
SEI PRIVATE TRUST
COMPANY C O ROCKLAND
TRUST SWP 1 FREEDOM
VALLEY DR, OAKS PA
19456-9989 |
3,961,626.54 |
|
22.37% |
PIMCO HIGH YIELD
SPECTRUM INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
1,641,904.55 |
|
9.27%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,107,333,488.29 |
|
23.88% |
PIMCO INCOME
INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
478,345,504.40 |
|
5.42% |
PIMCO INCOME
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,994,434,563.45 |
|
22.60% |
PIMCO INCOME
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
455,090,768.92 |
|
5.16% |
PIMCO INCOME
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
562,732,243.58 |
|
6.38% |
PIMCO INFLATION
RESPONSE M-A INST |
INST |
|
ATTN MUTUAL FUND OPS
MAC & CO A/C 573577, 500
GRANT STREET ROOM
151-1010, PITTSBURGH PA
15219-2502 |
17,363,177.62 |
|
8.67% |
PIMCO INFLATION
RESPONSE M-A INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
11,842,790.20 |
|
5.92%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INFLATION
RESPONSE M-A INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
103,970,828.24 |
* |
51.94% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
17,146,985.80 |
* |
28.13% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
5,337,445.33 |
|
8.76% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS ATTN: SERVICE
TEAM 4800 DEER LAKE
DRIVE EAST 3RD FL,
JACKSONVILLE FL
32246-6484 |
3,531,681.68 |
|
5.79% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
8,268,997.78 |
|
13.56% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
NORTHERN TRUST AS
TRUSTEE FBO MORGAN
STANLEY XXXK DV PO BOX
92994, CHICAGO IL
60675-2994 |
4,217,222.30 |
|
6.92% |
PIMCO INTL BOND
(UNHEDGED) INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
5,700,945.61 |
|
9.35%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INTL BOND
(USD-HEDGED) INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
255,911,511.06 |
* |
25.39% |
PIMCO INTL BOND
(USD-HEDGED) INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
222,974,790.09 |
|
22.12% |
PIMCO INTL BOND
(USD-HEDGED) INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
143,096,368.22 |
|
14.20% |
PIMCO INTL BOND
(USD-HEDGED) INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
61,853,694.24 |
|
6.14% |
PIMCO INTL BOND
(USD-HEDGED) INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
62,537,364.05 |
|
6.20% |
PIMCO
INVESTMENT
GRADE CREDIT BD
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
90,161,933.25 |
|
14.64% |
PIMCO
INVESTMENT
GRADE CREDIT BD
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
216,318,788.17 |
* |
35.12% |
PIMCO
INVESTMENT
GRADE CREDIT BD
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
35,509,709.25 |
|
5.77%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
28,354,258.84 |
|
8.77% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
23,249,273.46 |
|
7.19% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
|
DCGT AS TTEE AND OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS ATTN NPIO TRADE
DESK, 711 HIGH ST, DES
MOINES IA 50392-0001 |
22,732,235.14 |
|
7.03% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
|
DOMTAR INDUSTRIES INC
MASTER TRUST 100
KINGSLEY PARK DR, FORT
MILL SC 29715-6476 |
17,248,455.79 |
|
5.34% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
44,322,501.00 |
|
13.71% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
|
SEI PRIVATE TRUST
COMPANY C O PRINCIPAL
FINANCIAL ID XXX ATTN
MUTUAL FUND
ADMINISTRATOR, ONE
FREEDOM VALLEY DRIVE,
OAKS PA 19456-9989 |
47,165,226.55 |
|
14.59% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
32,813,146.28 |
|
10.15% |
PIMCO LONG
DURATION TOTAL
RETURN INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
29,495,430.59 |
|
9.12% |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
18,990,792.55 |
|
5.22%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
28,323,640.85 |
|
7.79% |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
|
DCGT AS TTEE AND OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS ATTN NPIO TRADE
DESK, 711 HIGH ST, DES
MOINES IA 50392-0001 |
34,243,604.38 |
|
9.42% |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
|
JP MORGAN CHASE BANK N
A AS DIRECTED TRUSTEE OF
THE NYU LANGONE
HOSPITALS RETIREMENT
PLAN ATTN PALMIRA
CATALIOTTI, 1 PARK AVE FL
4, NEW YORK NY 10016-5818 |
24,584,855.66 |
|
6.76% |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
109,637,259.52 |
* |
30.14% |
PIMCO LONG-TERM
CREDIT BOND INST |
INST |
|
SEI PRIVATE TRUST
COMPANY C O PRINCIPAL
FINANCIAL ID XXX ATTN
MUTUAL FUND
ADMINISTRATOR, ONE
FREEDOM VALLEY DRIVE,
OAKS PA 19456-9989 |
31,417,563.59 |
|
8.64% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
2,728,777.92 |
|
7.74% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
10,675,337.70 |
* |
30.26% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND INCOME FUND 1633
BROADWAY NEW YORK, NY
10019 |
2,566,840.41 |
|
7.28%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
3,523,778.38 |
|
9.99% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
4,317,668.79 |
|
12.24% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
3,399,642.95 |
|
9.64% |
PIMCO LONG-TERM
REAL RETURN INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
2,055,049.55 |
|
5.83% |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
3,845,670.01 |
|
7.38% |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
2,765,478.96 |
|
5.31% |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
20,642,504.57 |
* |
39.64% |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
2,655,083.02 |
|
5.10% |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
|
STATE STREET BANK &
TRUST FBO REALPATH
BLEND XXXX FUND 1633
BROADWAY NEW YORK, NY
10019 |
3,326,382.21 |
|
6.39%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LONG-TERM
US GOVERNMENT
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
5,735,883.49 |
|
11.01% |
PIMCO LOW
DURATION CREDIT
FUND INSTL |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,996,353.42 |
|
18.22% |
PIMCO LOW
DURATION CREDIT
FUND INSTL |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,265,019.78 |
* |
57.19% |
PIMCO LOW
DURATION CREDIT
FUND INSTL |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
937,114.01 |
|
8.55% |
PIMCO LOW
DURATION ESG INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
1,940,409.27 |
|
7.04% |
PIMCO LOW
DURATION ESG INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
9,484,527.95 |
* |
34.41% |
PIMCO LOW
DURATION ESG INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
1,578,821.40 |
|
5.73%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION ESG INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
10,003,656.52 |
* |
36.30% |
PIMCO LOW
DURATION ESG INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,695,075.63 |
|
6.15% |
PIMCO LOW
DURATION II INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
9,393,671.83 |
* |
29.27% |
PIMCO LOW
DURATION II INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
6,623,132.62 |
|
20.63% |
PIMCO LOW
DURATION II INST |
INST |
** |
MARIL & CO FBO JI C/O
RELIANCE TRUST COMPANY
WI MAILCODE: BDXN -
ATTN: MF 4900 W BROWN
DEER RD, MILWAUKEE WI
53223-2422 |
1,669,728.49 |
|
5.20% |
PIMCO LOW
DURATION II INST |
INST |
|
SAN LUIS OBISPO COUNTY
PENSION TRUST 1000 MILL
ST, SN LUIS OBISP CA
93408-2703 |
3,849,691.63 |
|
11.99% |
PIMCO LOW
DURATION II INST |
INST |
** |
VOYA RETIREMENT
INSURANCE AND ANNUITY
COMPANY 1 ORANGE WAY,
WINDSOR CT 06095-4773 |
4,279,196.24 |
|
13.33% |
PIMCO LOW
DURATION II INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
1,872,964.58 |
|
5.84% |
PIMCO LOW
DURATION INCOME
INST |
INST |
|
ARANDA INVESTMENTS PTE
LTD 60B ORCHARD RD
TOWER 2 06-18, THE
ATRIUM@ORCHARD,
SINGAPORE 238891,
SINGAPORE |
25,252,525.25 |
|
5.67%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION INCOME
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
27,603,635.92 |
|
6.19% |
PIMCO LOW
DURATION INCOME
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
74,838,082.71 |
|
16.79% |
PIMCO LOW
DURATION INCOME
INST |
INST |
|
EMORY UNIVERSITY
OPERATING EXCESS CASH
THE COMMONS AT
PIEDMONT CENTER, 3565
PIEDMONT RD NE BLDG
3-300, ATLANTA GA
30305-8207 |
27,343,897.34 |
|
6.13% |
PIMCO LOW
DURATION INCOME
INST |
INST |
|
MANAGED FUNDS EXCESS
CASH C O EMORY
INVESTMENT
MANAGEMENT 3445
PEACHTREE RD NE STE 675,
ATLANTA GA 30326-3221 |
27,306,785.25 |
|
6.13% |
PIMCO LOW
DURATION INCOME
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
84,962,806.77 |
|
19.06% |
PIMCO LOW
DURATION INCOME
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
31,579,184.77 |
|
7.08% |
PIMCO LOW
DURATION INCOME
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
55,349,608.42 |
|
12.42% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
35,924,018.91 |
|
7.84% |
PIMCO LOW
DURATION INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
24,792,040.73 |
|
5.41% |
PIMCO LOW
DURATION INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
35,695,966.17 |
|
7.79% |
PIMCO LOW
DURATION INST |
INST |
|
NEW YORK UNIVERSITY 55
5TH AVE FL 16, NEW YORK
NY 10003-4301 |
23,075,767.83 |
|
5.04% |
PIMCO LOW
DURATION INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
30,513,542.31 |
|
6.66% |
PIMCO LOW
DURATION INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
30,483,009.56 |
|
6.65% |
PIMCO LOW
DURATION INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
134,107,949.90 |
* |
29.27% |
PIMCO LOW
DURATION INST |
INST |
|
THE J PAUL GETTY TRUST
1200 GETTY CENTER DRIVE,
LOS ANGELES CA 90049-1657 |
33,178,812.52 |
|
7.24% |
PIMCO LOW
DURATION
OPPORTUNITIES
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
773,987.86 |
* |
29.49% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO LOW
DURATION
OPPORTUNITIES
INST |
INST |
** |
EMPOWER TRUST FBO
EMPLOYEE BENEFITS
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
175,173.29 |
|
6.67% |
PIMCO LOW
DURATION
OPPORTUNITIES
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
623,453.53 |
|
23.75% |
PIMCO LOW
DURATION
OPPORTUNITIES
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
318,355.94 |
|
12.13% |
PIMCO LOW
DURATION
OPPORTUNITIES
INST |
INST |
** |
TIAA TRUST, N.A. AS
CUST/TTEE OF RETIREMENT
PLANS RECORDKEPT BY
TIAA ATTN: FUND
OPERATIONS 8500 ANDREW
CARNEGIE BLVD,
CHARLOTTE NC 28262-8500 |
328,344.74 |
|
12.51% |
PIMCO MODERATE
DURATION INST |
INST |
|
DCGT AS TTEE AND OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS ATTN NPIO TRADE
DESK, 711 HIGH ST, DES
MOINES IA 50392-0001 |
8,957,564.40 |
|
5.56% |
PIMCO MODERATE
DURATION INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
58,305,850.49 |
* |
36.17% |
PIMCO MODERATE
DURATION INST |
INST |
** |
OLTRUST & CO CASH CASH
123 MAIN ST FL 3RD,
EVANSVILLE IN 47708-2400 |
22,067,651.05 |
|
13.69% |
PIMCO MORTGAGE
OPP AND BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
95,557,348.93 |
|
13.07% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MORTGAGE
OPP AND BOND
INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
181,908,313.06 |
|
24.88% |
PIMCO MORTGAGE
OPP AND BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
335,077,159.36 |
* |
45.82% |
PIMCO
MORTGAGE-BACKED
SECURITIES INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
909,096.02 |
|
9.92% |
PIMCO
MORTGAGE-BACKED
SECURITIES INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
3,624,284.93 |
* |
39.55% |
PIMCO
MORTGAGE-BACKED
SECURITIES INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,939,991.51 |
|
21.17% |
PIMCO
MORTGAGE-BACKED
SECURITIES INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,047,901.61 |
|
11.44% |
PIMCO MUNICIPAL
BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
21,863,741.39 |
|
17.86% |
PIMCO MUNICIPAL
BOND INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
10,050,706.17 |
|
8.21%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO MUNICIPAL
BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
52,426,058.12 |
* |
42.82% |
PIMCO MUNICIPAL
BOND INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
7,114,890.33 |
|
5.81% |
PIMCO MUNICIPAL
BOND INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
10,418,933.17 |
|
8.51% |
PIMCO NAT MUNI
INTERM VALUE
INST |
INST |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS 211
MAIN STREET, SAN
FRANCISCO CA 94105-1901 |
3,558,516.68 |
* |
33.70% |
PIMCO NAT MUNI
INTERM VALUE
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,892,849.14 |
* |
65.27% |
PIMCO NAT MUNI
OPPORT VALUE INST |
INST |
** |
CHARLES SCHWAB & CO INC
ATTN MUTUAL FUNDS 211
MAIN STREET, SAN
FRANCISCO CA 94105-1901 |
30,229,685.23 |
* |
96.01% |
PIMCO NATL
INTERMEDIATE
MUNI BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
28,087,818.54 |
* |
59.08% |
PIMCO NATL
INTERMEDIATE
MUNI BOND INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
7,539,095.34 |
|
15.86% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO NATL
INTERMEDIATE
MUNI BOND INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
4,332,387.42 |
|
9.11% |
PIMCO NATL
INTERMEDIATE
MUNI BOND INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,435,771.76 |
|
9.33% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
7,559,223.23 |
* |
33.27% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
1,437,519.63 |
|
6.33% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
|
JP MORGAN TRUST
COMPANY OF DELAWARE AS
TRUSTEE THE FXBET
EXEMPT TRUST UA DTD
XX-XX-XXXX 500 STANTON
CHRISTIANA RD, NEWARK
DE 19713-2105 |
1,137,344.42 |
|
5.01% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,880,635.40 |
* |
30.28% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,674,363.76 |
|
7.37% |
PIMCO NEW YORK
MUNICIPAL BOND
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
2,212,482.54 |
|
9.74%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO PREFERRED
AND CAPITAL SEC
INST |
INST |
** |
BAND & CO C/O US BANK
NA PO BOX 1787,
MILWAUKEE WI 53201-1787 |
4,443,827.79 |
|
6.84% |
PIMCO PREFERRED
AND CAPITAL SEC
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
13,686,779.86 |
|
21.06% |
PIMCO PREFERRED
AND CAPITAL SEC
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
22,861,376.98 |
* |
35.17% |
PIMCO PREFERRED
AND CAPITAL SEC
INST |
INST |
** |
RBC CAPITAL MARKETS LLC
MUTUAL FUND OMNIBUS
PROCESSING ATTN MUTUAL
FUND OPS MANAGER 250
NICOLLET MALL SUITE 1400,
MINNEAPOLIS MN
55401-7582 |
3,306,468.39 |
|
5.09% |
PIMCO RAE
FUNDAMENTAL
ADV PLUS INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
7,266,362.50 |
|
12.04% |
PIMCO RAE
FUNDAMENTAL
ADV PLUS INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
50,582,527.97 |
* |
83.81% |
PIMCO RAE PLUS
EMG INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,819,499.71 |
|
10.28% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS
EMG INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,252,266.54 |
|
8.21% |
PIMCO RAE PLUS
EMG INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,974,823.48 |
|
7.20% |
PIMCO RAE PLUS
EMG INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
1,675,597.35 |
|
6.11% |
PIMCO RAE PLUS
EMG INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
14,764,809.30 |
* |
53.81% |
PIMCO RAE PLUS
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
6,244,861.11 |
* |
30.84% |
PIMCO RAE PLUS
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
5,853,907.60 |
* |
28.91% |
PIMCO RAE PLUS
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
3,074,246.18 |
|
15.18% |
PIMCO RAE PLUS
INTERNATIONAL
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,520,393.68 |
|
8.32%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO RAE PLUS
INTERNATIONAL
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
1,997,384.93 |
|
10.93% |
PIMCO RAE PLUS
INTERNATIONAL
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
13,475,645.36 |
* |
73.75% |
PIMCO RAE PLUS
SMALL INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
4,087,449.02 |
* |
49.59% |
PIMCO RAE PLUS
SMALL INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,486,230.29 |
|
18.03% |
PIMCO RAE PLUS
SMALL INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
705,595.40 |
|
8.56% |
PIMCO RAE PLUS
SMALL INST |
INST |
|
STATE STREET KANSAS CITY
FBO PVIT GLOBAL
DIVERSIFIED ALLOCATION
PORTFOLIO 1633 BROADWAY
NEW YORK, NY 10019 |
589,079.79 |
|
7.15% |
PIMCO RAE WW
LONG/SHORT PLUS
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
7,765,178.50 |
|
12.29% |
PIMCO RAE WW
LONG/SHORT PLUS
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
52,741,636.33 |
* |
83.45% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO REAL
RETURN INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
111,548,665.23 |
|
20.43% |
PIMCO REAL
RETURN INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
138,694,868.21 |
* |
25.40% |
PIMCO
REALESTATEREAL
RETURN STRAT
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SEPCIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
1,397,837.43 |
|
9.13% |
PIMCO
REALESTATEREAL
RETURN STRAT
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
2,043,786.26 |
|
13.35% |
PIMCO
REALESTATEREAL
RETURN STRAT
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
2,526,853.33 |
|
16.51% |
PIMCO
REALESTATEREAL
RETURN STRAT
INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
6,457,625.39 |
* |
42.19% |
PIMCO SHORT
ASSET INVESTMENT
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
33,920,298.30 |
|
12.83% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT
ASSET INVESTMENT
INST |
INST |
|
MAC & CO A C XXXXXX
ATTN: MUTUAL FUND
OPERATIONS, 500 GRANT
STREET ROOM 151-1010,
PITTSBURGH PA 15219-2502 |
40,633,238.65 |
|
15.37% |
PIMCO SHORT
ASSET INVESTMENT
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
121,912,857.79 |
* |
46.11% |
PIMCO SHORT
DURATION MUNI
INCOME INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
5,425,017.39 |
|
20.06% |
PIMCO SHORT
DURATION MUNI
INCOME INST |
INST |
|
CO UMB BANK SEI PRIVATE
TRUST COMPANY ONE
FREEDOM VALLEY DRIVE,
OAKS PA 19456-9989 |
1,391,553.03 |
|
5.15% |
PIMCO SHORT
DURATION MUNI
INCOME INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,468,732.15 |
|
23.92% |
PIMCO SHORT
DURATION MUNI
INCOME INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
2,378,724.85 |
|
8.80% |
PIMCO SHORT
DURATION MUNI
INCOME INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
6,769,749.34 |
* |
25.04% |
PIMCO SHORT-TERM
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
127,338,773.90 |
|
18.07% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO SHORT-TERM
INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
64,533,355.10 |
|
9.16% |
PIMCO SHORT-TERM
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
212,232,216.72 |
* |
30.11% |
PIMCO SHORT-TERM
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
40,059,421.68 |
|
5.68% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
|
ATTN MUTUAL FUND
OPERATIONS MAC & CO A/C
XXXXXX FBO SD 529 PIMCO
STOCKS ABSOLUTE, 500
GRANT STREET ROOM
151-1010, PITTSBURGH PA
15219-2502 |
6,932,276.55 |
|
8.99% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
8,106,226.57 |
|
10.52% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
|
DCGT AS TTEE AND OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS ATTN NPIO TRADE
DESK, 711 HIGH ST, DES
MOINES IA 50392-0001 |
7,626,614.33 |
|
9.89% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
27,236,252.35 |
* |
35.34% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
7,459,845.03 |
|
9.68% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
|
STATE STREET BANK FBO
THE PIMCO FOUNDATION
1633 BROADWAY NEW
YORK, NY 10019 |
4,040,797.58 |
|
5.24% |
PIMCO STOCKSPLUS
ABSOLUTE RETURN
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
4,980,563.44 |
|
6.46% |
PIMCO STOCKSPLUS
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
125,077,204.78 |
* |
84.24% |
PIMCO STOCKSPLUS
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
9,997,732.48 |
|
6.73% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
2,249,788.72 |
* |
26.03% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
|
EMPOWER TRUST FBO
EMPLOYEE BENEFIT
CLIENTS XXXK 8515 E
ORCHARD RD 2T2,
GREENWOOD VILLAGE CO
80111-5002 |
841,075.49 |
|
9.73% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
** |
LINCOLN RETIREMENT
SERVICES COMPANY FBO
KAWEAH DELTA HLTH CARE
XXXK PO BOX 7876, FORT
WAYNE IN 46801-7876 |
646,622.09 |
|
7.48%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,599,932.14 |
|
18.51% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
|
STATE STREET KANSAS CITY
FBO PVIT GLOBAL
DIVERSIFIED ALLOCATION
PORTFOLIO 1633 BROADWAY
NEW YORK, NY 10019 |
1,660,249.61 |
|
19.21% |
PIMCO STOCKSPLUS
INTL (UNHEDGED)
INST |
INST |
|
TI-TRUST INC X 2900 N 23RD
ST, QUINCY IL 62305-9013 |
495,067.67 |
|
5.73% |
PIMCO STOCKSPLUS
INTL (USD-HDG)
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
41,013,222.98 |
* |
25.15% |
PIMCO STOCKSPLUS
INTL (USD-HDG)
INST |
INST |
|
DCGT AS TTEE AND OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS ATTN NPIO TRADE
DESK, 711 HIGH ST, DES
MOINES IA 50392-0001 |
10,095,261.73 |
|
6.19% |
PIMCO STOCKSPLUS
INTL (USD-HDG)
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
36,791,551.59 |
|
22.56% |
PIMCO STOCKSPLUS
INTL (USD-HDG)
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
16,020,479.28 |
|
9.82% |
PIMCO STOCKSPLUS
INTL (USD-HDG)
INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
12,044,977.44 |
|
7.39%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
|
ATTN MUTUAL FUND
OPERATIONS MAC & CO A/C
615213, 500 GRANT STREET
ROOM 151-1010,
PITTSBURGH PA 15219-2502 |
6,513,347.82 |
|
14.57% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY A/C FBO
CUSTOMERS ATTN MUTUAL
FUNDS 211 MAIN STREET,
SAN FRANCISCO CA
94105-1901 |
2,395,315.77 |
|
5.36% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
9,239,886.53 |
|
20.68% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
|
HOWARD UNIVERSITY
RETIREMENT TRUST 2244
10TH ST NW STE 302,
WASHINGTON DC 20001-4012 |
2,266,885.31 |
|
5.07% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
6,784,031.73 |
|
15.18% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
4,424,473.90 |
|
9.90% |
PIMCO STOCKSPLUS
LONG DURATION
INST |
INST |
** |
VANGUARD MARKETING
CORPORATION 100
VANGUARD BLVD,
MALVERN PA 19355-2331 |
2,892,706.85 |
|
6.47% |
PIMCO STOCKSPLUS
SHORT INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
474,612.73 |
|
13.93% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO STOCKSPLUS
SHORT INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
775,414.15 |
|
22.75% |
PIMCO STOCKSPLUS
SHORT INST |
INST |
** |
NATIONWIDE TRUST
COMPANY FSB C/O IPO
PORTFOLIO ACCOUNTING,
PO BOX 182029, COLUMBUS
OH 43218-2029 |
331,572.58 |
|
9.73% |
PIMCO STOCKSPLUS
SHORT INST |
INST |
** |
PERSHING LLC 1 PERSHING
PLZ, JERSEY CITY NJ
07399-0002 |
1,305,421.43 |
* |
38.31% |
PIMCO STOCKSPLUS
SHORT INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
260,137.16 |
|
7.63% |
PIMCO STOCKSPLUS
SMALL INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
6,230,406.27 |
|
7.74% |
PIMCO STOCKSPLUS
SMALL INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
33,240,522.13 |
* |
41.32% |
PIMCO STOCKSPLUS
SMALL INST |
INST |
|
SAXON & CO FBO
XXXXXXXXXXXXXX PO
BOX 94597, CLEVELAND OH
44101-4597 |
8,755,570.95 |
|
10.88% |
PIMCO TOTAL
RETURN ESG INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
42,586,341.14 |
|
21.66% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN ESG INST |
INST |
** |
EDWARD D JONES & CO FOR
THE BENEFIT OF
CUSTOMERS XXXXX
MANCHESTER RD SAINT
LOUIS MO 63131-3710 |
13,854,167.36 |
|
7.05% |
PIMCO TOTAL
RETURN ESG INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
25,384,665.56 |
|
12.91% |
PIMCO TOTAL
RETURN ESG INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
43,431,822.05 |
|
22.09% |
PIMCO TOTAL
RETURN II INST |
INST |
** |
CAPINCO C/O US BANK NA
PO BOX 1787, MILWAUKEE
WI 53201-1787 |
7,016,024.63 |
|
9.54% |
PIMCO TOTAL
RETURN II INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
4,255,029.33 |
|
5.78% |
PIMCO TOTAL
RETURN II INST |
INST |
** |
J. P. MORGAN SECURITIES
LLC FOR THE EXCL. BENE.
OF OUR CUST. 4 CHASE
METROTECH CTR,
BROOKLYN NY 11245-0003 |
12,612,895.76 |
|
17.14% |
PIMCO TOTAL
RETURN II INST |
INST |
** |
MERRILL LYNCH PIERCE
FENNER & SMITH INC FOR
THE SOLE BENEFIT OF ITS
CUSTOMERS ATTN: SERVICE
TEAM 4800 DEER LAKE DR E
FL 3, JACKSONVILLE FL
32246-6484 |
7,933,984.64 |
|
10.78% |
PIMCO TOTAL
RETURN II INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
19,777,633.31 |
* |
26.88% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TOTAL
RETURN II INST |
INST |
|
THE KANSAS UNIVERSITY
ENDOWMENT ASSOCIATION
ATTN: JEFFREY DAVIS,
LONG-TERM INVESTMENT
PROGRAM, PO BOX 928,
LAWRENCE KS 66044-0928 |
4,294,373.37 |
|
5.84% |
PIMCO TOTAL
RETURN INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
471,455,061.59 |
|
10.00% |
PIMCO TOTAL
RETURN INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
1,557,660,696.57 |
* |
33.06% |
PIMCO TOTAL
RETURN INST |
INST |
** |
WELLS FARGO CLEARING
SERVICES LLC SPECIAL
CUSTODY ACCT FOR THE
EXCLUSIVE BENEFIT OF
CUSTOMER 2801 MARKET
ST, SAINT LOUIS MO
63103-2523 |
651,482,786.46 |
|
13.83% |
PIMCO TOTAL
RETURN IV INST |
INST |
** |
EDWARD D JONES & CO
ATTN MUTUAL FUND,
SHAREHOLDER
ACCOUNTING, 201
PROGRESS PKWY,
MARYLAND HEIGHTS MO
63043-3003 |
23,351,979.80 |
* |
79.94% |
PIMCO TOTAL
RETURN IV INST |
INST |
|
STATE STREET KANSAS CITY
FBO PVIT GLOBAL
DIVERSIFIED ALLOCATION
PORTFOLIO 1633 BROADWAY
NEW YORK, NY 10019 |
2,998,492.00 |
|
10.27% |
PIMCO TRENDS
MGD FUTURES
STRAT INST |
INST |
** |
CHARLES SCHWAB & CO INC
SPECIAL CUSTODY
ACCOUNT FOR THE
EXCLUSIVE BENEFIT OF
OUR CUSTOMERS ATTN:
MUTUAL FUNDS DEPT, 211
MAIN ST, SAN FRANCISCO
CA 94105-1901 |
31,265,969.14 |
|
15.07% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO TRENDS
MGD FUTURES
STRAT INST |
INST |
** |
NATIONAL FINANCIAL
SERVICES LLC FOR THE
BENEFIT OF OUR
CUSTOMERS 499
WASHINGTON BLVD, ATTN:
MUTUAL FUNDS DEPT 4TH
FLOOR, JERSEY CITY NJ
07310-1995 |
107,171,746.35 |
* |
51.67% |
PIMCO TRENDS
MGD FUTURES
STRAT INST |
INST |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
39,638,227.71 |
|
19.11% |
PIMCO
GOVERNMENT
MONEY MARKET M |
M |
|
JPMS - CHASE PROCESSING
XXXXX JPMS IB XXX FBO
XXXXXXXXXXXXX FBO
KLA CORPORATION 4 CHASE
METROTECH CENTER
7THFL, BROOKLYN NY
11245-0003 |
257,170,190.23 |
* |
33.08% |
PIMCO
GOVERNMENT
MONEY MARKET M |
M |
|
JPMS - CHASE PROCESSING
XXXXX JPMS IB XXX FBO
XXXXXXXXXXXXX FBO
SOUTHWIRE COMPANY LLC
4 CHASE METROTECH
CENTER 7THFL, BROOKLYN
NY 11245-0003 |
100,000,000.00 |
|
12.86% |
PIMCO
GOVERNMENT
MONEY MARKET M |
M |
|
SEI PRIVATE TRUST
COMPANY C O PRINCIPAL
FINANCIAL ID XXX ATTN
MUTUAL FUND
ADMINISTRATOR, ONE
FREEDOM VALLEY DRIVE,
OAKS PA 19456-9989 |
142,134,866.44 |
|
18.28% |
PIMCO
GOVERNMENT
MONEY MARKET M |
M |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET ALL AUTHORITY
FUND 1633 BROADWAY NEW
YORK, NY 10019 |
112,617,431.08 |
|
14.49% |
PIMCO
GOVERNMENT
MONEY MARKET M |
M |
** |
STATE STREET BANK &
TRUST CO FBO PIMCO ALL
ASSET FUND 1633
BROADWAY NEW YORK, NY
10019 |
72,845,585.10 |
|
9.37% |
PIMCO SHORT
ASSET INVESTMENT
M |
M |
** |
ALLIANZ FUND
INVESTMENTS INC 1633
BROADWAY NEW YORK, NY
10019 |
1,086.13 |
* |
100.00% |
PIMCO ALL ASSET R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
562,099.05 |
|
17.92%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO ALL ASSET R |
R |
** |
UMB BANK N/A FIDUCIARY
FOR TAX DEFERRED A/C'S 1
SECURITY BENEFIT PLACE,
TOPEKA KS 66636-1000 |
284,823.12 |
|
9.08% |
PIMCO ALL ASSET R |
R |
** |
VOYA INSTITUTIONAL
TRUST COMPANY 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
1,577,594.62 |
* |
50.31% |
PIMCO
COMMODITYREAL-
RETURN STRAT R |
R |
** |
ING LIFE INSURANCE &
ANNUITY CO 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
368,172.64 |
|
13.58% |
PIMCO
COMMODITYREAL-
RETURN STRAT R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
1,343,690.64 |
* |
49.56% |
PIMCO
COMMODITYREAL-
RETURN STRAT R |
R |
** |
VOYA INSTITUTIONAL
TRUST COMPANY 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
548,329.78 |
|
20.22% |
PIMCO DYNAMIC
BOND R |
R |
|
ATTN NPIO TRADE DESK
DCGT AS TTEE AND/OR
CUST FBO PLIC VARIOUS
RETIREMENT PLANS
OMNIBUS 711 HIGH ST, DES
MOINES IA 50392-0001 |
35,556.33 |
|
7.02% |
PIMCO DYNAMIC
BOND R |
R |
|
MID ATLANTIC TRUST
COMPANY FBO LOTT OIL
COMPANY, INC. XXX(K)
PLAN 1251 WATERFRONT
PLACE, SUITE 525,
PITTSBURGH PA 15222-4228 |
48,500.10 |
|
9.58% |
PIMCO DYNAMIC
BOND R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
343,008.09 |
* |
67.72% |
PIMCO HIGH YIELD
R |
R |
** |
HARTFORD LIFE INSURANCE
CO XXXK SEPARATE
ACCOUNT PO BOX 2999,
HARTFORD CT 06104-2999 |
446,190.53 |
|
9.87% |
PIMCO HIGH YIELD
R |
R |
|
MASSACHUSETTS MUTUAL
LIFE INSURANCE 1295 STATE
STREET MIP M200-INVST,
SPRINGFIELD MA 01111-0001 |
475,160.81 |
|
10.51% |
PIMCO HIGH YIELD
R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
2,323,930.14 |
* |
51.40% |
PIMCO INCOME R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
18,903,851.10 |
* |
41.40% |
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO INCOME R |
R |
** |
VOYA INSTITUTIONAL
TRUST COMPANY 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
10,497,294.90 |
|
22.99% |
PIMCO INTL BOND
(USD-HEDGED) R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
1,360,749.50 |
* |
25.60% |
PIMCO INTL BOND
(USD-HEDGED) R |
R |
** |
SECURITY BENEFIT LIFE INS
CO SBL VARIABLE ANNUITY
ACCOUNT XIV, ATTN
FINANCE DEPARTMENT, 1
SW SECURITY BENEFIT PL,
TOPEKA KS 66636-1000 |
299,856.36 |
|
5.64% |
PIMCO INTL BOND
(USD-HEDGED) R |
R |
** |
UMB BANK N/A FIDUCIARY
FOR TAX DEFERRED A/C'S 1
SECURITY BENEFIT PLACE,
TOPEKA KS 66636-1000 |
1,118,753.26 |
|
21.05% |
PIMCO INTL BOND
(USD-HEDGED) R |
R |
** |
UMB BANK NA FIDUCIARY
FOR VARIOUS TAX
DEFERRED ACCOUNTS ATTN
FINANCE DEPARTMENT, 1
SW SECURITY BENEFIT PL,
TOPEKA KS 66636-1000 |
703,872.51 |
|
13.24% |
PIMCO LOW
DURATION R |
R |
** |
ING LIFE INSURANCE &
ANNUITY CO 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
946,212.58 |
|
11.15% |
PIMCO LOW
DURATION R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
5,317,613.26 |
* |
62.67% |
PIMCO LOW
DURATION R |
R |
** |
STATE STREET BANK AND
TRUST AS TRUSTEE AND/OR
CUSTODIAN FBO ADP
ACCESS PRODUCT 1
LINCOLN ST, BOSTON MA
02111-2901 |
563,194.86 |
|
6.64% |
PIMCO LOW
DURATION R |
R |
** |
VOYA INSTITUTIONAL
TRUST COMPANY 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
611,718.00 |
|
7.21% |
PIMCO REAL
RETURN R |
R |
** |
HARTFORD LIFE INSURANCE
CO XXXK SEPARATE
ACCOUNT ATTN: UIT
OPERATIONS, PO BOX 2999,
HARTFORD CT 06104-2999 |
2,049,246.90 |
|
11.61% |
PIMCO REAL
RETURN R |
R |
** |
ING LIFE INSURANCE &
ANNUITY CO 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
1,297,135.11 |
|
7.35%
|
FUND NAME |
CLASS |
|
REGISTRATION |
SHARES
BENEFICIALLY
OWNED |
|
PERCENTAGE OF
OUTSTANDING
SHARES OF
CLASS OWNED |
PIMCO REAL
RETURN R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
6,349,009.75 |
* |
35.98% |
PIMCO REAL
RETURN R |
R |
** |
STATE STREET BANK AND
TRUST AS TRUSTEE AND/OR
CUSTODIAN FBO ADP
ACCESS PRODUCT 1
LINCOLN ST, BOSTON MA
02111-2901 |
989,790.85 |
|
5.61% |
PIMCO REAL
RETURN R |
R |
** |
UMB BANK N/A FIDUCIARY
FOR TAX DEFERRED A/C'S 1
SW SECURITY BENEFIT PL,
TOPEKA KS 66636-1000 |
2,494,457.68 |
|
14.14% |
PIMCO SHORT-TERM
R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
10,988,453.96 |
* |
93.21% |
PIMCO STOCKSPLUS
R |
R |
** |
MASSACHUSETTS MUTUAL
LIFE INSURANCE 1295 STATE
STREET MIP M200-INVST,
SPRINGFIELD MA 01111-0001 |
691,530.23 |
|
13.44% |
PIMCO STOCKSPLUS
R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
3,855,446.17 |
* |
74.95% |
PIMCO TOTAL
RETURN R |
R |
** |
HARTFORD LIFE INSURANCE
CO XXXK SEPARATE
ACCOUNT PO BOX 2999,
HARTFORD CT 06104-2999 |
8,639,573.38 |
|
19.33% |
PIMCO TOTAL
RETURN R |
R |
** |
SAMMONS FINANCIAL
NETWORK 5801 SW 6TH AVE,
TOPEKA KS 66636-1001 |
6,052,900.99 |
|
13.54% |
PIMCO TOTAL
RETURN R |
R |
** |
STATE STREET BANK AND
TRUST AS TRUSTEE AND/OR
CUSTODIAN FBO ADP
ACCESS PRODUCT 1
LINCOLN ST, BOSTON MA
02111-2901 |
5,639,202.36 |
|
12.62% |
PIMCO TOTAL
RETURN R |
R |
** |
VOYA INSTITUTIONAL
TRUST COMPANY 1 ORANGE
WAY, WINDSOR CT
06095-4773 |
5,420,962.04 |
|
12.13% |