Morningstar Quicktake Report | Snapshot Report generated 29 Jun 2025
PIMCO Global Bond W   10883 Print  
 Performance 31 May 2025 
Growth of $10,000
Fund: PIMCO Global Bond W
Index: Bloomberg Global Aggregate TR Hdg AUD
Category: Mstar PG ITr Bonds - Global Idx
   
Financial Year Total Returns
  06/22 06/23 06/24 YTD
Fund -10.40 -0.75 4.60 4.30
+/- Cat -0.01 0.24 2.19 0.11
+/- Index -1.07 0.41 1.92 -0.20
         
Trailing Total Returns as at 31 May 2025
  Total
Return
+/-
Cat
+/-
Index
Cat
Rank
1 Month -0.24 0.09 0.12 35/84
3 Month -0.12 -0.17 -0.26 65/83
1 Year 4.98 0.10 -0.33 39/78
3 Year 1.90 0.68 0.48 12/60
5 Year 0.25 1.23 0.97 6/53
         
Risk Analysis
3-Year Risk Measures Fund Category Index
Standard Deviation 5.73 6.28 5.55
Sharpe Ratio -0.31 -0.44 -0.4
R-Squared 95.89 92.07 --
Beta 1.01 1.08 --
Alpha 0.51 -0.18 --
       
 Fund Details
Fund Inception 31 Jul 1998
Manager PIMCO Australia Management Limited
Base Currency $A
Net Assets $Mil
as at 26 Jun 2025
4398.59
Minimum Investment $ 20,000
Regular Savings Plan (Yes/No) NAv
Cash Distributions Quarterly
   
 Quick Stats  
APIR Code ETL0018AU
Legal Type Investment Trusts
Status Open
Category Bonds - Global
Entry Price $ 0.9218
Exit Price $ 0.9209
Exit Price 1 Week Change $ 0.0066
   
 Portfolio
Current Investment Style as at 31 Mar 2025
Size
Medium
Style
Value
Asset Allocation % as at 31 Mar 2025
Domestic Fixed Int 4.39
International Fixed Int 95.57
Cash 0.04
 
 Morningstar Ratings 31 May 2025 
Overall
3 Year
5 Year
   
 Prospective Fees & Costs 17 Dec 2024 
Total Cost Ratio 0.56%
Investment Management Fee 0.49%
Performance Fee Cost NAv
Administration Fees and Costs NAv
Buy/Sell Spread 0.00%  /  0.10%
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