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PIMCO Australia Bond Index Exchange-Traded Fund

NAV
Index
NAV
Price
After Tax Return
Growth of $10,000
Yield to Maturity
30 day SEC Yield

As of 03/31/2013

Quarter End Performance

View Month End Performance
Cumulative Annualized
YTD 1 mo 3 mo 6 mo 1 yr 3 yr 5 yr 10 yr Since
Incep.
NAV Total Returns (After Fees) 0.43 1.78 0.43 1.03 7.82 -- -- -- 6.27
Market Price Returns 0.10 1.31 0.10 0.30 7.09 -- -- -- 5.96
Index Returns 0.70 1.71 0.70 1.11 8.52 -- -- -- 6.77
Performance Difference (Fund NAV vs. Index) -0.27 +0.07 -0.27 -0.08 -0.70 -- -- -- -0.50
Performance Difference (Fund Market Price vs. Index) -0.60 -0.40 -0.60 -0.81 -1.43 -- -- -- -0.81
Standard Deviation -- -- -- -- -- -- -- -- --

As of 03/31/2013

Quarter End After Tax Returns

View Month End After Tax
Cumulative Annualized
YTD 1 mo 3 mo 6 mo 1 yr 3 yr 5 yr 10 yr Since
Incep.
Pre-Liquidation 0.05 1.68 0.05 0.33 6.61 -- -- -- 4.93
Post-Liquidation 0.24 1.01 0.24 0.66 4.61 -- -- -- 4.30

As of 3/31/2013

Premium / Discount Analysis for  

Market Price above or equal to NAV Market Price below NAV
Percent of
Difference
No. of
Days
Percent of
Total Days
No. of
Days
Percent of
Total Days
0 - 0.49%
0.5% - 0.99%
1.0% - 1.49%
1.5% - 1.99%
2.0% - 2.49%
2.5% - 2.99%
3.0% - 3.49%
3.5% - 3.99%
4.0% - 4.49%
4.5% - 4.99%
>= 5.00%
Total

As of 4/30/2013

Interest Rate Exposures

Exposure Fund Index
Effective Duration 4.1 4.2
Bull Market Duration 4.1 4.2
Bear Market Duration 4.1 4.1
Total Curve Duration -0.1 NA

As of 4/30/2013

Sector Exposures*

Exposure Fund Index
Mortgage Spread Duration 0.0 0.0
Corporate Spread Duration 0.4 0.4
Emerging Markets Spread Duration 0.1 0.1