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Last Close
May 01  •  04:00PM ET
14.75
Dollar change
-0.02
Percentage change
-0.14
%
May 01, 6:00 PMPIMCO Access Income Fund declares an unchanged monthly distribution of $0.1494 per share, payable June 1, 2026 to shareholders of record on May 11, 2026.
Index
-
P/E
8.10
EPS (ttm)
1.82
Insider Own
-
Shs Outstand
47.02M
Perf Week
0.68%
Market Cap
693.59M
Forward P/E
-
EPS next Y
-
Insider Trans
-
Shs Float
47.02M
Perf Month
1.58%
Enterprise Value
-
PEG
-
EPS next Q
-
Inst Own
26.80%
Perf Quarter
-7.93%
Income
-
P/S
-
EPS this Y
-
Inst Trans
-
Perf Half Y
-7.58%
Sales
-
P/B
-
EPS next Y
-
ROA
-
Perf YTD
-3.59%
Book/sh
-
P/C
-
EPS next 5Y
-
ROE
-
52W High
16.56 -10.93%
Perf Year
-4.84%
Cash/sh
-
P/FCF
-
EPS past 3/5Y
- -
ROIC
-
52W Low
13.74 7.35%
Perf 3Y
3.51%
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
-
Volatility
1.19% 1.41%
Perf 5Y
-
EV/Sales
-
EPS Y/Y TTM
-
Oper. Margin
-
ATR (14)
0.22
Perf 10Y
-
Quick Ratio
-
Sales Y/Y TTM
-
Profit Margin
-
RSI (14)
55.15
Recom
-
Current Ratio
-
EPS Q/Q
-
SMA20
1.02%
Beta
0.66
Target Price
-
Debt/Eq
-
Sales Q/Q
-
SMA50
0.43%
Rel Volume
1.02
Prev Close
14.77
Employees
-
LT Debt/Eq
-
Earnings
-
SMA200
-5.01%
Avg Volume
191.49K
Price
14.75
IPO
Jan 27, 2022
Option/Short
No / Yes
EPS/Sales Surpr.
- -
Trades
Volume
195,908
Change
-0.14%
May-01-26 05:56PM
Apr-17-25 09:41AM
Apr-01-25 05:06PM
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PIMCO Access Income Fund is close-ended fixed income mutual fund launched and managed by Pacific Investment Management Company LLC. It invests in fixed income markets of global region. The fund primarily invests in corporate debt, mortgage-related and other asset-backed instruments, government and sovereign debt, taxable municipal bonds, floating-rate income-producing securities with varying maturities. It employs fundamental analysis bottom-up and top-down securities picking approach to create its portfolio. PIMCO Access Income Fund is domiciled in the United States.