PIMCO Dynamic Income Fund (PDI)
PIMCO Dynamic Income Fund (NYSE: PDI) is a closed-end investment fund organized in the United States and listed on the New York Stock Exchange. Managed by Allianz Global Investors Fund Management LLC and co-managed by Pacific Investment Management Company LLC, the fund focuses on fixed-income markets worldwide. Its portfolio can include a range of debt securities, such as mortgage-backed securities, investment-grade and high-yield corporate bonds, sovereign bonds, and corporate debt from both developed and emerging markets. The fund was formed on May 30, 2012.
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| Ticker | Fair Value | Fair Value Upside/Downside | Fair Value Rating | Analyst Price Target | Analyst Target Upside/Downside | Analyst Target Rating | Overall Financial Health | Upcoming Dividend Ex-Date | Dividend Payment Date | Upcoming Dividend | Dividend Yield | Next Earnings Date | P/E Ratio | Price-to-Book Ratio | Price-to-Sales Ratio | Market Cap | Enterprise Value | Total Debt / Total Capital | Free Float / Shares Outstanding | Altman Z-Score | Payout Ratio | Free Cash Flow / Net Income |
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NYSE-PDI
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Good
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July 13, 2026
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August 3, 2026
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2.646
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16.2%
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7.523 B
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