Loading...
Please Wait...

PIMCO Intermediate Municipal Bond Strategy Fund

NAV
$53.99
Change
$0.03  |   0.06%

As of 5/17/2012

Market Price
$54.01
Change
$0.03  |   0.05%

As of 5/17/2012

Fund Description

​The Intermediate Municipal Bond Strategy Fund is an actively managed exchange-traded fund (ETF). Designed to be appropriate for investors seeking tax-exempt income, the Fund consists of a diversified portfolio of primarily intermediate duration, high credit quality bonds, which carry interest income that is exempt from federal tax and in some cases state tax. With this Fund, investors will see the names of the bonds owned daily. In addition, the Fund will not use options, futures or swaps.

Read more

Portfolio Management


Joseph Deane

Joseph Deane
Mr. Deane is an executive vice president in the New York office and head of municipal bond portfolio management. Prior to joining PIMCO in 2011, he was co-head of the tax-exempt department at Western Asset (WAMCO). Mr. Deane was previously a managing director and head of tax-exempt investments from 1993-2005 at Smith Barney/Citigroup Asset Management. Earlier in his career, he held senior portfolio management positions with Shearson and E.F. Hutton. Morningstar named him Fixed Income Manager of the Year in 1996 and a finalist in 1995 and 2007. He has 41 years of investment experience and holds a bachelor's degree from Iona College.

Read more

Fund Information

Ticker MUNI
CUSIP 72201R866
Inception Date 11/30/2009
Shares Outstanding 2,760,000
Total Net Assets $149,015,102.39
Daily Trading Volume
(in shares)
12,289
Premium/Discount Average
(since inception)
0.03%
Premium/Discount as
of market close
0.04%

As of 5/17/2012

Yield Information

Estimated Yield to Maturity 1.99%
SEC 30-Day Yield 1.38%

As of 5/16/2012

Portfolio Information

Number of Holdings 148
Effective Maturity 6.04 Years
Effective Duration 5.49 Years

As of 5/16/2012


Distribution Yield 2.19%

As of 4/30/2012

Full Performance & Risk

As of 4/30/2012

Dividends and Distributions

Full distribution history

As of 5/16/2012

Top 10 Holdings

CT HLTH/EDU FAC-A-HAR 3.66%
WI TRANSP REV-1 2.13%
PA HGR ED-AM 2.08%
BARBER HILL ISD PSF-GTD 1.93%
TX MUN GAS-SR LIEN-D 1.87%
OHIO-A-REF-SCH 1.69%
UNIV HOUSTON-A-REF 1.65%
NJ ST TRANSN -D 1.64%
MA CLG BLDG-B-REF 1.63%
NJ ECON-REF-EE 1.62%

As of 3/31/2012

Trading Characteristics

Average Volume
In Shares 18,808
In $ $1,006,855.62
Bid/Ask Spread
In % 0.17%
In $ $0.08
Fund Tickers
NAV Per Share MUNI.NV
Und. Trading Value MUNI.IV
Shares Outstanding MUNI.SO
Est. Cash MUNI.EU
Total Cash MUNI.TC