
PIMCO Corporate & Income Strategy Fund
PIMCO Corporate & Income Strategy Fund (PCN) is a closed‑end investment company managed by PIMCO that seeks to provide current income and some capital appreciation by investing primarily in corporate credit and other income‑producing fixed‑income instruments. The fund typically holds a mix of investment‑grade and below‑investment‑grade corporate bonds, and may use modest leverage to enhance yield. As a listed closed‑end vehicle, its share price can trade at a premium or discount to net asset value (NAV), and distributions can fluctuate with market conditions. With a market capitalisation around $868 million, PCN may appeal to investors seeking higher income than plain‑vanilla bond funds, but it carries interest‑rate, credit and liquidity risks. This summary is educational only and not personalised investment advice; investors should assess suitability, read the prospectus and consider professional advice before investing.
Stock Performance Snapshot
Financial Health
PIMCO Corporate & Income Strategy Fund is earning good revenue and maintaining strong profit margins.
Dividend
PIMCO Corporate & Income Strategy Fund's high dividend yield of 10.7% makes it very appealing for those seeking regular income. If you invested $1000 you would be paid $107.00 a year in dividends (based on the last 12 months).
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Fed Rate Policy 2025: Inflation-Resistant Stocks
The Federal Reserve is holding interest rates steady, prioritizing the fight against tariff-driven inflation over employment risks. This creates an investment opportunity in companies that are well-equipped to handle a high-interest-rate environment and persistent inflation.
Published: August 22, 2025
Explore BasketWhy You’ll Want to Watch This Stock
Income‑Focused Strategy
Targets regular distributions by investing in corporate credit and related instruments, though distribution levels can vary with market conditions.
Diversified Credit Exposure
Holds a mix of investment‑grade and high‑yield bonds for income diversification, but credit events and downgrades can affect returns.
NAV vs Market Price
Shares can trade at a discount or premium to NAV; discounts may create opportunities but bring added price volatility and liquidity considerations.
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