PIMCO Closed-End Funds Declare Monthly Common Share Distributions

In This Article:

PIMCO Account Management
PIMCO Account Management

NEW YORK, Dec. 02, 2024 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution for each Fund’s common shares as summarized below. The distributions are payable on January 2, 2025 to shareholders of record on December 12, 2024, with an ex-dividend date of December 12, 2024.


 

 

 

 

Monthly Distribution
Per Share

 

Fund

NYSE Symbol

Amount

Change From
Previous
Month

Percentage
Change From
Previous
Month

PIMCO Corporate & Income Strategy Fund

(NYSE: PCN)

$0.112500

-

-

PIMCO Corporate & Income Opportunity Fund

(NYSE: PTY)

$0.118800

-

-

PIMCO Global StocksPLUS® & Income Fund

(NYSE: PGP)

$0.069000

-

-

PIMCO High Income Fund

(NYSE: PHK)

$0.048000

-

-

PIMCO Strategic Income Fund, Inc.

(NYSE: RCS)

$0.051000

-

-

PCM Fund, Inc.

(NYSE: PCM)

$0.080000

-

-

PIMCO Income Strategy Fund

(NYSE: PFL)

$0.081400

-

-

PIMCO Income Strategy Fund II

(NYSE: PFN)

$0.071800

-

-

PIMCO Dynamic Income Fund

(NYSE: PDI)

$0.220500

-

-

PIMCO Dynamic Income Opportunities Fund

(NYSE: PDO)

$0.127900

-

-

PIMCO Municipal Income Fund

(NYSE: PMF)

$0.042000

-

-

PIMCO California Municipal Income Fund

(NYSE: PCQ)

$0.036000

-

-

PIMCO New York Municipal Income Fund

(NYSE: PNF)

$0.033500

-

-

PIMCO Municipal Income Fund II

(NYSE: PML)

$0.039500

-

-

PIMCO California Municipal Income Fund II

(NYSE: PCK)

$0.021500

-

-

PIMCO New York Municipal Income Fund II

(NYSE: PNI)

$0.029500

-

-

PIMCO Municipal Income Fund III

(NYSE: PMX)

$0.033000

-

-

PIMCO California Municipal Income Fund III

(NYSE: PZC)

$0.029500

-

-

PIMCO New York Municipal Income Fund III

(NYSE: PYN)

$0.024800

-

-

PIMCO Access Income Fund

(NYSE: PAXS)

$0.149400

-

-

PIMCO Dynamic Income Strategy Fund

(NYSE: PDX)

$0.113300

-

-

Fund Distribution Information as of October 31, 2024:

Fund

NYSE Symbol

Current Amount

Annualized
current
distribution
rate expressed
as a
percentage of
NAV as of 10/31/2024

Annualized
current
distribution rate
expressed as a
percentage of
Market Price as
of 10/31/2024

PIMCO Corporate & Income Strategy Fund

(NYSE: PCN)

$0.112500

11.37

%

9.80

%

PIMCO Corporate & Income Opportunity Fund

(NYSE: PTY)

$0.118800

12.24

%

9.81

%

PIMCO Global StocksPLUS® & Income Fund

(NYSE: PGP)

$0.069000

10.77

%

10.36

%

PIMCO High Income Fund

(NYSE: PHK)

$0.048000

12.23

%

11.50

%

PIMCO Strategic Income Fund, Inc.

(NYSE: RCS)

$0.051000

13.78

%

7.98

%

PCM Fund, Inc.

(NYSE: PCM)

$0.080000

15.21

%

11.91

%

PIMCO Income Strategy Fund

(NYSE: PFL)

$0.081400

11.99

%

11.44

%

PIMCO Income Strategy Fund II

(NYSE: PFN)

$0.071800

11.98

%

11.46

%

PIMCO Dynamic Income Fund

(NYSE: PDI)

$0.220500

15.33

%

13.56

%

PIMCO Dynamic Income Opportunities Fund

(NYSE: PDO)

$0.127900

11.70

%

11.36

%

PIMCO Municipal Income Fund

(NYSE: PMF)

$0.042000

5.37

%

5.22

%

PIMCO California Municipal Income Fund

(NYSE: PCQ)

$0.036000

4.13

%

4.36

%

PIMCO New York Municipal Income Fund

(NYSE: PNF)

$0.033500

4.64

%

5.02

%

PIMCO Municipal Income Fund II

(NYSE: PML)

$0.039500

5.43

%

5.39

%

PIMCO California Municipal Income Fund II

(NYSE: PCK)

$0.021500

3.87

%

4.31

%

PIMCO New York Municipal Income Fund II

(NYSE: PNI)

$0.029500

4.22

%

4.76

%

PIMCO Municipal Income Fund III

(NYSE: PMX)

$0.033000

4.93

%

5.04

%

PIMCO California Municipal Income Fund III

(NYSE: PZC)

$0.029500

4.59

%

4.86

%

PIMCO New York Municipal Income Fund III

(NYSE: PYN)

$0.024800

4.46

%

4.95

%

PIMCO Access Income Fund

(NYSE: PAXS)

$0.149400

11.59

%

11.40

%

PIMCO Dynamic Income Strategy Fund

(NYSE: PDX)

 

0.113300

5.26

%

5.90

%

Distribution rates are not performance and are calculated by annualizing the current distribution per share announced in this press release and dividing by the NAV or Market Price, as applicable, as of the reported date. A Fund’s distribution rate may be affected by numerous factors, including changes in realized and projected market returns, Fund performance, and other factors. There can be no assurance that a change in market conditions or other factors will not result in a change in a Fund’s distribution rate at a future time. Distributions may be comprised of ordinary income, net capital gains, and/or a return of capital (“ROC”) of your investment in a Fund. Because the distribution rate may include a ROC, it should not be confused with yield or performance.