[{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Adm - Inc","CUSIP":"G7098D441","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Adm - Inc","CUSIP":"G7098D441","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E - Acc","CUSIP":"G7098D201","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E - Acc","CUSIP":"G7098D201","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E CHF (Hdg) - Acc","CUSIP":"G7098B858","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E CHF (Hdg) - Acc","CUSIP":"G7098B858","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E EUR (Hdg) - Acc","CUSIP":"G70984573","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund E EUR (Hdg) - Acc","CUSIP":"G70984573","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst - Acc","CUSIP":"G70984458","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst - Acc","CUSIP":"G70984458","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst EUR (Hdg) - Acc","CUSIP":"G7111X390","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst EUR (Hdg) - Acc","CUSIP":"G7111X390","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst GBP (Hdg) - Inc","CUSIP":"G7098B429","TabExclusion":"portfolio|documents"},{"FundDetailTitle":"Emerging Markets Corporate Bond Fund Inst GBP (Hdg) - Inc","CUSIP":"G7098B429","TabExclusion":"portfolio|documents"}]
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Objective
The Emerging Markets Corporate Bond Fund is an actively managed, diversified portfolio of fixed income securities issued by geographically diverse range of emerging market entities focused on infrastructure sectors. Assets are primarily denominated in US dollars, but may also be in local currencies.
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ISIN
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IE00B55FB454
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Bloomberg Ticker
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PIMEMRG
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Fund Total Net Assets
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230,518,221.86 USD
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Management Fees (%)
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0.95
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Benchmark
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JPMorgan Corporate Emerging Markets Bond Index Diversified (CEMBI)
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Fund Inception Date
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11/12/2009
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Class Inception Date
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11/12/2009
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Base Currency Code
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USD
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Effective Duration (Years)
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4.09
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Current Yield (%)
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7.40
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% YTD Performance
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5.45
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Effective Maturity
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5.28
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Average Coupon
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6.23
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Bull Duration Delta
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-0.03
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Bear Duration Delta
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0.03
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Curve Duration
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0.47
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Mortgage Spread Duration
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0.00
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Data as of
05/31/2017
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Daily Prices
(USD)
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| NAV |
Day Change |
| 14.87 |
-0.02
-0.13%
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YTD Return
(Net of Fees)
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5.31%
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as of 06/20/2017
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|
| 06/16/2017 |
06/19/2017 |
06/20/2017 |
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14.90
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14.89
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14.87
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