The fund utilizes a dynamic asset allocation strategy across multiple fixed income sectors in global credit markets, including corporate debt of various types. It employs fundamental analysis along with a top-down stock picking approach. The fund trades at approximately $4.56 per share with a market cap of approximately $850 million as of June 2026.
PIMCO High Income Fund demonstrates solid fundamentals as an established closed-end fund with strong dividend yield (12.63%) and consistent performance. As of May 31, 2026, the fund's NAV returned 11.1% over one year against 8.7% for its multisector bond category, indicating outperformance. However, like all fixed income products, it faces interest rate sensitivity and credit risk in high-yield markets.
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