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The Fund seeks maximum total return, consistent with prudent investment management | PIMCO funds (except for All Asset, All Asset All Authority and RealRetirement funds), other affiliated or unaffiliated funds, fixed income instruments, equities and other instruments. | | | |
|
| Symbol | PEAAX | |
CUSIP Number
| 72201T862 | |
Total Fund Assets (in millions)
| $75.8 | |
Share Class Inception Date
| 4/12/2011 | |
Dividend Frequency
| Annually | |
Maximum Sales Charge
| 5.50% | |
Net Operating Expenses
| 1.71 %
| |
|
|
The Fund seeks maximum total return, consistent with prudent investment management | PIMCO funds (except for All Asset, All Asset All Authority and RealRetirement funds), other affiliated or unaffiliated funds, fixed income instruments, equities and other instruments. | | | |
|
| Symbol | PEAAX | |
CUSIP Number
| 72201T862 | |
Total Fund Assets (in millions)
| $75.8 | |
Share Class Inception Date
| 4/12/2011 | |
Dividend Frequency
| Annually | |
Maximum Sales Charge
| 5.50% | |
Net Operating Expenses
| 1.71 %
| |
|
Daily Price
|
| NAV |
Day Return |
|
$9.44
|
-$0.02
-0.21%
|
|
YTD Return
|
| 1.83%
|
|
As of 05/22/13
|
Historical Prices
|
05/17/13
$9.44
|
05/20/13
$9.48
|
05/21/13
$9.46
|
Performance quoted represents past performance and is not a guarantee or a reliable indicator of future results. Investment return and the principal value of an investment will fluctuate. Shares may be worth more or less than original cost when redeemed. Current performance may be lower or higher than average annual returns shown. Performance quoted does not reflect any sales charges, if applicable, and performance would be lower if it did. Click Performance tab for performance current to the most recent month-end.
| Sales Range (USD) | Fee % |
|
Under $50,000
|
5.50%
|
|
$50,000
but under $100,000
|
4.50%
|
|
$100,000
but under $250,000
|
3.50%
|
|
$250,000
but under $500,000
|
2.50%
|
|
$500,000
but under $1 million
|
2.00%
|
|
$1 million
but under $2,000,001
|
0.00%*
|
|
$2,000,001
but under $5,000,001
|
0.00%*
|
|
$5,000,001+
|
0.00%*
|
Fund Overview
A comprehensive emerging markets asset allocation solution
In an effort to increase returns and diversify their developed markets exposure, investors are increasingly making emerging markets (EM) a strategic part of their overall investment portfolios. Designed to be a “one-stop” EM solution, PIMCO Emerging Multi-Asset Fund offers actively managed exposure across the range of EM asset classes within a comprehensive risk management framework.
Why Invest In This Fund
Incorporates tactical asset allocation driven by PIMCO’s macroeconomic views
As relative value shifts across EM asset classes, PIMCO will dynamically adjust the fund’s allocation mix. These top-down asset allocation decisions are based on PIMCO’s forward-looking macroeconomic views and are implemented using a risk-factor-based approach, which we believe allows for better targeting of desired risk exposures that exist within the various asset classes.
Explicit tail risk hedging
In an interconnected and turbulent global economy that is likely to experience continued periods of market stress, PIMCO believes that tail-risk hedging is essential for preserving and enhancing long-term portfolio returns. To that end, the fund employs an array of hedging strategies designed to help limit losses during large and unanticipated market downturns.
Seeks excess return potential through intensive, bottom-up research
The fund’s top-down investment process is complemented by PIMCO’s, bottom-up analysis within EM equities, debt and currencies. This best-in-class fundamental research is used to identify security selection opportunities to add value within each EM asset class, recognizing the heterogeneous nature of countries and companies within the universe.
 Curtis Mewbourne Mr. Mewbourne is a managing director and head of portfolio management for PIMCO's New York office. As a generalist portfolio manager, he manages institutional accounts and mutual funds across a wide range of strategies. Mr. Mewbourne serves as a member of the global operating committee, the PM management group and the PIMCO Foundation investment committee. Prior to joining PIMCO in 1999, he was a bond trader at Salomon Brothers and at Lehman Brothers. Mr. Mewbourne was nominated for Morningstar's Fixed Income Manager of the Year award in 2010. He has 21 years of trading and portfolio management experience. He holds an engineering degree in computer science from the University of Pennsylvania.  Masha Gordon, CFA Ms. Gordon is an executive vice president in the London office and leads the emerging markets equity portfolio management team. Prior to joining PIMCO in September 2010, she was a managing director, portfolio manager and head of global emerging markets equity strategy at Goldman Sachs Asset Management. Ms. Gordon served as a lead portfolio manager for the Goldman Sachs Emerging Markets Equity Fund from 2003-2010 and a co-lead portfolio manager for the Goldman Sachs BRIC Fund from 2006-2010. In total, she helped oversee more than $8 billion in investment assets. Earlier in her career, Ms. Gordon was a research analyst covering consumer, telecom and resource stocks in emerging markets. Before joining the financial industry, Ms. Gordon was a reporter for the Moscow bureau of "The Washington Post". She has 14 years of investment experience and holds a master of arts degree in law and diplomacy from the Fletcher School of Law and Diplomacy at Tufts University. She holds a bachelor's degree in political science from the University of Wisconsin.  Michael A. Gomez Mr. Gomez is a managing director in the Newport Beach office, a portfolio manager and co-head of the emerging markets portfolio management team. Prior to joining PIMCO in 2003, he was responsible for market making and proprietary trading of emerging market bonds at Goldman Sachs. Prior to that, he spent a year in Colombia serving as a financial consultant to the Ministry of Finance and Public Credit. Mr. Gomez was named one of the rising stars of mutual funds by Institutional Investor News (2009). He is chairman of the oversight committee for the Markit GEMX emerging markets indices and also serves on other committees pertaining to emerging markets. He has 18 years of investment experience and holds an MBA from the Wharton School of the University of Pennsylvania, where he also received his undergraduate degree.  Ramin Toloui Mr. Toloui is an executive vice president in the Singapore office and global co-head of emerging markets portfolio management. Prior to joining PIMCO in 2006, Mr. Toloui spent seven years in the international division of the U.S. Department of Treasury, including as the director of the Office of the Western Hemisphere, managing a team of economists and advising senior U.S. government officials on financial policies in Latin America. He previously served as senior advisor to the Under Secretary for International Affairs during the crises in Brazil, Uruguay and Turkey in 2001-2003. He has 14 years of international finance experience and holds an undergraduate degree from Harvard University and a master's degree in international relations from Oxford University, where he was a Rhodes Scholar.
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