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PIMCO 3-7 Year U.S. Treasury Index Exchange-Traded Fund

NAV
$81.16
Change
$0.06  |   0.07%

As of 5/21/2013

Market Price
$81.15
Change
$0.06  |   0.07%

As of 5/21/2013

Fund Description

The PIMCO 3-7 Year U.S. Treasury Index Exchange-Traded Fund is an exchange-traded fund (ETF) that aims to capture, before fees and expenses, the returns of The BofA Merrill Lynch 3-7 Year US Treasury IndexSM. This index typically contains the bellwether 5-Year Treasury note, along with U.S. Treasuries moderately shorter and longer in maturity. By tracking the index, the fund aims to achieve, the yield and duration exposure inherent in this index.

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Portfolio Management


Vineer Bhansali

Vineer Bhansali
Dr. Bhansali is a managing director and portfolio manager in the Newport Beach office. He currently oversees PIMCO's quantitative investment portfolios. From 2000, he also headed PIMCO's firmwide analytics department. Prior to joining PIMCO in 2000, he was a proprietary trader in the fixed-income trading group at Credit Suisse First Boston and in the fixed income arbitrage group at Salomon Brothers in New York. Previously, he was head of the exotic and hybrid options trading desk at Citibank in New York. He is the author of numerous scientific and financial papers and of the books "Bond Portfolio Investing and Risk Management," "Pricing and Managing Exotic and Hybrid Options," and "Fixed Income Finance: A Quantitative Approach." He currently serves as an associate editor for the International Journal of Theoretical and Applied Finance. He has 22 years of investment experience and holds a Ph.D. in theoretical particle physics from Harvard University. He has a master's degree in physics and an undergraduate degree from the California Institute of Technology.

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Fund Information

Ticker FIVZ
CUSIP 72201R601
Inception Date 10/30/2009
Shares Outstanding 266,667
Total Net Assets $21,643,844.11
Daily Trading Volume
(in shares)
1,171
Premium/Discount Average
(since inception)
-0.01%
Premium/Discount as
of market close
-0.01%

As of 5/21/2013

Yield Information

Estimated Yield to Maturity 0.77%
SEC 30-Day Yield 0.52%

As of 5/20/2013

Portfolio Information

Number of Holdings 36
Effective Maturity 4.63 Years
Effective Duration 4.47 Years

As of 5/20/2013


Distribution Yield 1.25%

As of 4/30/2013

Full Performance & Risk

Index Information

Index Tracked BofA Merrill Lynch 3-7 Year U.S. Treasury Index
Index Ticker G3OC
Inception Date 12/31/1977
Annualized Volatility
(since inception)
5.37%
Rebalancing Frequency Monthly

As of 4/30/2013


Index Description

BofA Merrill Lynch 3-7 Year U.S. Treasury Index is an unmanaged index comprised of U.S. dollar denominated sovereign debt securities publicly issued by the U.S. Treasury having a maturity of at least 3 years and less than 7 years.

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As of 5/21/2013

Dividends and Distributions

Full distribution history

As of 5/20/2013

Top 10 Holdings

U S TREASURY NOTE 11.04%
U S TREASURY NOTE 6.64%
U S TREASURY NOTE 5.34%
U S TREASURY NOTE 5.33%
U S TREASURY NOTE 5.29%
U S TREASURY NOTE 5.27%
U S TREASURY NOTE 5.12%
U S TREASURY BOND 4.79%
U S TREASURY NOTE 4.77%
U S TREASURY NOTE 3.69%

As of 3/31/2013

Quarterly Trading Characteristics

Average Volume
In Shares 2,218
In $ $179,820.73
Bid/Ask Spread
In % 0.05%
In $ $0.04
Fund Tickers
NAV Per Share FIVZ.NV
Und. Trading Value FIVZ.IV
Shares Outstanding FIVZ.SO
Est. Cash FIVZ.EU
Total Cash FIVZ.TC