Snapshot: PAXS

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PIMCO ACCESS INCOME FUND

15.85up0.65 (4.2763%)

 as of 4:10:00pm ET 09/30/2022

Please note: Closed end funds are subject to the risk of their underlying assets and investment strategy. Unlike open end funds, closed end funds trade on an exchange at a price which is often a discount to their net asset value (NAV). The market price may experience periods of increased volatility due to the use of leverage as well as market and fund illiquidity. Important information you should know about investing in closed-end funds.

Bid/Size 15.52/1
Ask/Size 16.11/1
Open 15.15
High 16.12
Low 15.15
Previous Close
AS OF 09/30/2022
15.85
Price Performance (Last 52 Wk) --
Volume 456,496
Volume (90-Day Average) 134,089
NAV (Daily) --
Bid/Ask Midpoint (Previous Day) --
Premium / Discount (1 Month Average)^
as of 08/31/2022
-7.25%
NAV
as of 09/29/2022
16.77
NAV Update Frequency Daily
Options No
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Security Type

Closed End Fund

Asset Class

Taxable Bond

Morningstar Category

Multisector Bond

Prospectus Objective

Growth and Income

Net Assets
AS OF 08/31/2022

$782.9M

Net Expense Ratio
AS OF 06/30/2022

1.79%

Sponsor

PIMCO

Inception Date

01/31/2022

Financial Year-End

June 30, 2022

Benchmark Index

ICE BofA US High Yield TR USD

Legal Structure

Closed End Fund

Total Holdings
AS OF 08/31/2022

280

Investment Objective Summary

The Fund seeks to achieve its investment objectives by utilizing a dynamic asset allocation strategy among multiple sectors in the global public and private credit markets, including corporate debt, mortgage-related and other asset-backed instruments, government and sovereign debt, taxable municipal bonds and other fixed-, variable- and floating-rate income-producing securities of U.S. and foreign issuers, including emerging market issuers and real estate-related investments.

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News, Commentary & Events

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News

Commentary

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Analyst Opinions

Analyst Ratings

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Key Statistics

Bond Holdings Valuation AS OF 08/31/2022

Average Duration 3
Average Maturity 6
Average Coupon % 5.62%

Equity Holdings Valuation AS OF 08/31/2022

Price/Earnings (Trailing Twelve Months) 9.70
Price/Book 0.74
Price/Sales 5.44
Price/Cash Flow 7.46
Long-Term Earnings % --
Historical Earnings % -0.78%

Distributions as of 09/30/2022

Total Distribution Rate (Market Price) 11.79%
Total Distribution Rate (NAV) 10.69%
See all Key Stats

Compare

PAXS
PIMCO ACCESS INCOME FUND
Asset Class Median
Market Capitalization
AS OF 08/31/2022
1.8B 484.3M
Volume (10-Day Avg)
AS OF 09/29/2022
131.5K 87.6M
YTD Market Price Total Return
AS OF 08/31/2022
-- -15.99%
1 Month Market Price Total Return
AS OF 08/31/2022
-3.35% -1.28%
1 Year Market Price Total Return
AS OF 08/31/2022
-- -16.10%
1 Year NAV Total Return
AS OF 08/31/2022
-- -12.10%
3 Year Annualized Market Price Total Return
AS OF 08/31/2022
-- -16.10%
Beta (Market Price 1 Yr)
AS OF 08/31/2022
-- 0.86
Annual Turnover Ratio
AS OF 6/30/2022
16.00% 47.00%
Net Expense Ratio
AS OF 06/30/2022
2.63% 1.85%
Total Expense Ratio (Adjusted)
AS OF 06/30/2022
1.79% 1.85%
Compare to Other CEFs

Performance

Premium / Discount to NAV^ as of 08/31/2022

Premium Chart
Date Average
08/2022 -7.25%
07/2022 -3.70%
06/2022 -8.18%
05/2022 -5.66%
04/2022 -3.01%
03/2022 -6.16%
02/2022 0.46%
Quarter-End Average Annual Total ReturnsAS OF 06/30/2022
NAV Return Market Return
1 Year -- --
3 Year -- --
5 Year -- --
10 Year -- --
Life -11.63% -18.71%
Life as of inception date: 01/31/2022       Gross Expense Ratio: 2.63

The performance data featured represents past performance, which is no guarantee of future results. Investment return and principal value of an investment will fluctuate; therefore, you may have a gain or loss when you sell your shares. Current performance may be higher or lower than the performance data quoted.

More about Performance & Risk

Portfolio Composition

Reported by Fund Sponsor

Top 10 HoldingsAs of 08/31/2022

AMSURG PIK 2L TL 2.98%
Windstream Escrow LLC / Windstream Escrow Finance Corp 7.75% 2.61%
MBRT 2019-MBR 5.19049% 2.31%
ACE Securities Corp Home Equity Loan Trust Series 2007-SL2 2.86371% 2.27%
SYNIVERSE TL SOFR 2.05%
Gsmsc Resecuritization Tr 2014-2r 2.869% 2.05%
PROMOTORA DE INFORMACIONES TL 1L 2.04%
Hilton USA Trust 2013-HLT 5.5191% 2.01%
Team Health Holdings Inc Tl B 1.96%
Stichting AK Rabobank Certificaten 6.5% 1.96%
Assets in Top 10 Holdings22.26%

Credit Quality  AS OF 03/31/2022

Type % Bonds
AAA 7.70
AA 0.23
A 0.00
BBB 12.11
BB 22.14
B 23.70
Below B 34.12
Not Rated 0.00

Maturity  AS OF 08/31/2022

% Bonds
10 to 15 Years 27.15
15 to 20 Years 6.59
1 to 3 Years 7.45
20 to 30 Years 7.61
3 to 5 Years 27.25
5 to 7 Years 11.23
7 to 10 Years 4.34
Over 30 Years 6.05
More about Portfolio Composition
*The Overall Morningstar RatingTM for a fund is derived from a weighted average of the performance figures associated with its three-, five-, and ten-year (if applicable) Morningstar Rating metrics. For each fund with at least a three-year history, Morningstar calculates a Morningstar Rating based on a Morningstar Risk-Adjusted Return measure that accounts for variation in a funds monthly performance (including the effects of sales charges, loads and redemption fees, if applicable), placing more emphasis on downward variations and rewarding consistent performance. The top 10% of funds in each category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars and the bottom 10% receive 1 star. (Each share class is counted as a fraction of one fund within this scale and rated separately, which may cause slight variations in the distribution percentages.)

The performance data shown represents past performance, which is no guarantee of future results. Current performance may be higher or lower than the performance data quoted. Distributions are not guaranteed and the amount of distributions will vary depending on a number of factors. Market prices and investment return will vary, therefore you may have a gain or loss when you sell your shares. Click on the "Performance & Risk" link to view quarter-end performance. All performance data is for the common shares of the fund. Total distribution rate (at market or NAV) may include unknown combinations of income, capital gains and return of capital.

Cumulative total returns are reported as of the period indicated. Life of fund figures are reported as of the commencement date to the period indicated.

^Premium/Discount to NAV represents the percentage by which the funds market price exceeds or is less than net asset value (NAV). Shares of closed-end funds frequently trade at a market price that is a discount to their NAV.

Top holdings are as of the date indicated and may not be representative of the funds current or future investments.

News, commentary and events are from third-party sources unaffiliated with Fidelity. Fidelity does not endorse or adopt their content. Fidelity makes no guarantees that information supplied is accurate, complete, or timely, and does not provide any warranties regarding results obtained from their use.

Any data, charts and other information provided on this page are intended to help self-directed investors evaluate closed end funds. Criteria and inputs entered, including the choice to make closed end fund comparisons, are at the sole discretion of the user and are solely for the convenience of the user. Analyst opinions, ratings and reports are provided by third-parties unaffiliated with Fidelity. All information supplied or obtained from this page is for informational purposes only and should not be considered investment advice or guidance, an offer of or a solicitation of an offer to buy or sell a particular security, or a recommendation or endorsement by Fidelity of any security or investment strategy. Fidelity does not endorse or adopt any particular investment strategy, any analyst opinion/rating/report or any approach to evaluating closed end funds. Fidelity makes no guarantees that information supplied is accurate, complete, or timely, and does not provide any warranties regarding results obtained from their use. Determine which securities are right for you based on your investment objectives, risk tolerance, financial situation and other individual factors and re-evaluate them on a periodic basis.

© 2011 Morningstar, Inc. All rights reserved. The Morningstar information contained herein (1) is proprietary to Morningstar or its affiliates; (2) may not be copied or redistributed; and (3) is not warranted to be accurate, complete, or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

Before investing in any fund, you should consider its investment objective, risks, charges and expenses. Contact Fidelity for the most recent shareholder report for this information. Read it carefully. Please also review information provided by the fund on its web site.