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Fund: PIMCO Global Bond W |
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Index: Bloomberg Global Aggregate TR Hdg AUD
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Category: Mstar PG ITr Bonds - Global Idx
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Financial Year Total Returns |
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06/23 |
06/24 |
06/25 |
YTD |
Fund |
-0.75 |
4.60 |
5.72 |
1.51 |
+/- Cat
|
0.24 |
2.19 |
0.47 |
0.41 |
+/- Index |
0.41 |
1.92 |
0.28 |
0.48 |
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Trailing Total Returns as at 30 Sep 2025 |
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Total Return
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+/- Cat
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+/- Index
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Cat Rank
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1 Month |
0.74 |
0.02 |
0.06 |
31/84 |
3 Month |
1.50 |
0.41 |
0.48 |
22/82 |
1 Year |
4.00 |
1.53 |
1.56 |
12/79 |
3 Year |
5.08 |
1.13 |
1.12 |
9/65 |
5 Year |
0.17 |
0.98 |
0.73 |
9/52 |
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Risk Analysis
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3-Year Risk Measures |
Fund |
Category |
Index |
Standard Deviation |
4.59 |
5.19 |
4.51 |
Sharpe Ratio |
0.24 |
-0.01 |
0.01 |
R-Squared |
94.34 |
90.85 |
-- |
Beta |
0.99 |
1.09 |
-- |
Alpha |
1.08 |
-0.16 |
-- |
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Fund Inception |
31 Jul 1998 |
Manager |
PIMCO Australia Management Limited |
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Base Currency |
$A |
Net Assets $Mil as at 15 Oct 2025
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4434.43 |
Minimum Investment $ |
20,000 |
Regular Savings Plan (Yes/No) |
NAv |
Cash Distributions |
Quarterly |
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APIR Code |
ETL0018AU |
Legal Type |
Investment Trusts |
Status |
Open |
Category |
Bonds - Global |
Entry Price $ |
0.9248 |
Exit Price $ |
0.9239 |
Exit Price 1 Week Change $ |
0.0048 |
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Current Investment Style
as at 30 Jun 2025 |
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Size NAv |
Style NAv |
 |
Asset Allocation % as at 30 Jun 2025 |
Domestic Fixed Int
|
4.29 |
International Fixed Int |
95.75 |
Cash |
-0.04 |
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Morningstar Ratings |
30 Sep 2025 |
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Prospective Fees & Costs |
07 Oct 2025 |
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Total Cost Ratio |
0.57% |
Investment Management Fee |
0.49% |
Performance Fee Cost |
NAv |
Administration Fees and Costs |
NAv |
Buy/Sell Spread |
0.10%
/
0.10%
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