Prior to 15 April 2015, the PIMCO RAE Low Volatility PLUS Fund was named PIMCO Low Volatility RAFI-PLUS AR Fund.

Fund Literature
As of DateTypeTitleInformation Type
03/31/2014PIMCO Fundamental Index Funds Annual ReportAnnual Report
01/12/2015PIMS 2015 Distribution CalendarDividends and Capital Gains
12/31/9999PIMCO RAE Low Volatility PLUS Institutional Shares Fund CardFund Card
12/31/9999PIMCO RAE Low Volatility PLUS Institutional Class Fact SheetFund Fact Sheet
03/31/2015PIMCO RAE Low Volatility PLUS Fund Net Cash FlowsFund Net Cash Flows
12/31/2014PIMCO Funds RAE Low Volatility PLUS Fund Portfolio HoldingsHoldings Report
02/28/2015Low Volatility RAFI-PLUS AR Monthly CommentaryMonthly Fund Commentary
03/31/2015PIMCO FUNDS PORTFOLIO STATISTICS REPORT AS OF 3/31/2015Portfolio Statistics
04/15/2015PIMCO Equity-Related Strategy Funds - Statutory ProspectusProspectus
01/29/2015Equity Related Strategy Funds Proxy StatementProxy Statement
04/15/2015PIMCO Funds SAI Statement of Additional Information
04/15/2015PIMCO RAE Low Volatility PLUS Fund - Summary ProspectusSummary Prospectus
02/04/20142013 Qualified Dividend RatesTax Information
Investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing. This and other information are contained in the fund’s prospectus and summary prospectus, if available, which may be obtained by contacting your investment professional or PIMCO representative.  Click here for a complete list of the PIMCO Funds prospectuses and summary prospectuses. Please read them carefully before you invest or send money.

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