太平洋投资管理公司高收益基金据Investing.com报道,(纽约证券交易所股票代码:PHK-GET Rating)于7月5日(星期二)宣布分红。7月11日(星期一)登记在册的股东将于8月1日(星期一)获得投资管理公司每股0.048英镑的股息。这意味着收益率为11.18%。除息日期为7月8日星期五。
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2022-07-05 19:31
PIMCO High Income Fund (NYSE:PHK – Get Rating) announced a dividend on Tuesday, July 5th, investing.com reports. Shareholders of record on Monday, July 11th will be given a dividend of 0.048 per share by the investment management company on Monday, August 1st. This represents a yield of 11.18%. The ex-dividend date is Friday, July 8th.
太平洋投资管理公司高收益基金据Investing.com报道,(纽约证券交易所股票代码:PHK-GET Rating)于7月5日(星期二)宣布分红。7月11日(星期一)登记在册的股东将于8月1日(星期一)获得投资管理公司每股0.048英镑的股息。这意味着收益率为11.18%。除息日期为7月8日星期五。
PIMCO High Income Fund has decreased its dividend payment by an average of 15.9% annually over the last three years.
PIMCO高收入基金在过去三年中平均每年减少15.9%的股息支付。
NYSE:PHK opened at $5.15 on Tuesday. PIMCO High Income Fund has a one year low of $4.82 and a one year high of $7.09. The firm's fifty day moving average is $5.48 and its two-hundred day moving average is $5.76.
纽约证交所:PHK周二开盘报5.15美元。PIMCO高收入基金的一年低点为4.82美元,一年高位为7.09美元。该公司的50日移动均线切入位在5.48美元,200日移动均线切入位在5.76美元。
About PIMCO High Income Fund (Get Rating)
关于PIMCO高收益基金(获取评级)
PIMCO High Income Fund is a closed ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Pacific Investment Management Company LLC. It invests in the public fixed income markets across the globe. The fund invests in U.S. dollar denominated high-yield corporate debt obligations.
PIMCO高收益基金是由安联全球投资者基金管理有限责任公司推出并管理的封闭式固定收益共同基金。该基金由太平洋投资管理公司LLC共同管理。它投资于全球公共固定收益市场。该基金投资于以美元计价的高收益公司债务债券。
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