PIMCO Dynamic Income Fund May Offer Up to $3B in Shares
Sales may occur at market-related or negotiated prices, but the Fund cannot sell Common Shares below current NAV, excluding distributing commissions or discounts.
PIMCO Dynamic Income Fund may offer and sell Common Shares with an aggregate offering price of up to $3,000,000,000 through JonesTrading as its agent, from time to time in at-the-market or negotiated transactions. The Fund receives net proceeds from sales; JonesTrading may receive compensation of up to 1.00% of gross proceeds. The Fund may not sell shares below current NAV, exclusive of any distributing commission or discount.
Assuming the full $3,000,000,000 offering at $15.19 per share, the Fund estimates net proceeds of approximately $2,968,407,676 after an assumed 1.00% sales load and estimated offering expenses. Net proceeds are intended for investment under the Fund’s objectives and policies; substantially all are anticipated to be invested within approximately 30 days of receipt, subject to proceeds availability and investment availability, while some may be held for dividends, expenses or temporary defensive purposes. As of August 31, 2026, 476,616,492 Common Shares were outstanding; the market price was $15.19 and NAV was $15.60 per share.
Positive
- None.
Negative
- None.
Filing Explained
The full-offering share count is a conditional estimate; this supplement does not report that the potential new shares were issued.
The Fund filed a prospectus supplement allowing up to
Through
Key Figures
Key Terms
at the market financial
net asset value financial
reverse repurchase agreements financial
unified management fee financial
Offering Details
FAQ
AI-generated questions and answers. How Rhea-AI works. Not financial advice.
How much PDI stock may be sold in this offering?
How much net proceeds does PDI estimate from the offering?
Can PDI sell Common Shares below NAV?
When does PDI expect to invest the offering proceeds?
AI-generated analysis. How Rhea-AI works. Not financial advice.

About this Prospectus Supplement |
S- 3 |
Cautionary Notice Regarding Forward-Looking Statements |
S- 3 |
Prospectus Supplement Summary |
S- 3 |
Summary of Fund Expenses |
S- 5 |
Use of Proceeds |
S- 6 |
Capitalization |
S- 7 |
Market and Net Asset Value Information |
S- 7 |
Plan of Distribution |
S- 8 |
Legal Matters |
S- 9 |
Incorporation by Reference |
S- 9 |
Additional Information |
S- 9 |
Prospectus |
|
Prospectus Summary |
1 |
Summary of Fund Expenses |
45 |
Financial Highlights |
47 |
Use of Proceeds |
49 |
The Fund |
49 |
Investment Objectives and Policies |
49 |
Portfolio Contents |
50 |
Use of Leverage |
77 |
Principal Risks of the Fund |
79 |
How the Fund Manages Risk |
115 |
Management of the Fund |
117 |
Net Asset Value |
120 |
Distributions |
121 |
Dividend Reinvestment Plan |
122 |
Description of Capital Structure |
122 |
Plan of Distribution |
123 |
Market and Net Asset Value Information |
124 |
Anti-Takeover and Other Provisions in the Agreement and Declaration of Trust and Bylaws |
124 |
Repurchase of Common Shares; Conversion to Open-End Fund |
125 |
Tax Matters |
126 |
Custodian and Transfer Agent |
128 |
Independent Registered Public Accounting Firm |
128 |
Legal Matters |
128 |
Incorporation by Reference |
128 |
Appendix A-Description of Securities Ratings |
A-1 |
Sales load ( |
|
Offering Expenses Borne by Common Shareholders ( |
|
Dividend Reinvestment Plan Fees |
Percentage of Net Assets Attributable to Common Shares (reflecting leverage attributable to reverse repurchase agreements) | |
Management Fees(1) |
|
Interest Payments on Borrowed Funds(2) |
|
Other Expenses(3) |
|
Total Annual Expenses(4) |
1 Year |
3 Years |
5 Years |
10 Years | |
Total Expenses Incurred |
$ |
$ |
$ |
$ |
| |
As of June 30, 2026 | |
| |
Actual |
As Adjusted |
| Composition of Net Assets (dollar amounts in thousands): |
|
|
| |
|
|
| Common Shares, par value $0.00001 per share, unlimited shares authorized (472,078,912 shares outstanding as of June 30, 2026, and ( 1) shares estimated issued and outstanding as adjusted) |
$5 |
$7 |
| Paid-in-capital in excess of par |
$9,806,924 |
$12,849,238 |
| Distributable earnings (accumulated loss) |
$(2,283,247) |
$(2,462,452) |
| Net Assets Applicable to Holders of Common Shares |
$7,523,682 |
$10,386,793 |
| Capitalization |
$7,523,682 |
$10,386,793 |
| |
Common share market price (1) |
Common share net asset value |
Premium (discount) as a % of net asset value | |||
| Quarter |
High |
Low |
High |
Low |
High |
Low |
| Quarter ended June 30, 2026 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended March 31, 2026 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended December 31, 2025 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended September 30, 2025 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended June 30, 2025 |
$ |
$ |
$ |
$ |
|
|
| |
Common share market price (1) |
Common share net asset value |
Premium (discount) as a % of net asset value | |||
| Quarter |
High |
Low |
High |
Low |
High |
Low |
| Quarter ended March 31, 2025 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended December 31, 2024 |
$ |
$ |
$ |
$ |
|
|
| Quarter ended September 30, 2024 |
$ |
$ |
$ |
$ |
|
|
| |
Common Shares |
| PIMCO Dynamic Income Fund |
PDI |
ii
iii
iv
| |
Page |
| Prospectus Summary |
1 |
| Summary of Fund Expenses |
45 |
| Financial Highlights |
47 |
| Use of Proceeds |
49 |
| The Fund |
49 |
| Investment Objectives and Policies |
49 |
| Portfolio Contents |
50 |
| Use of Leverage |
77 |
| Principal Risks of the Fund |
79 |
| How the Fund Manages Risk |
115 |
| Management of the Fund |
117 |
| Net Asset Value |
120 |
| Distributions |
121 |
| Dividend Reinvestment Plan |
122 |
| Description of Capital Structure |
122 |
| Plan of Distribution |
123 |
| Market and Net Asset Value Information |
124 |
| Anti-Takeover and Other Provisions in the Agreement and Declaration of Trust and Bylaws |
124 |
| Repurchase of Common Shares; Conversion to Open-End Fund |
125 |
| Tax Matters |
126 |
| Custodian and Transfer Agent |
128 |
| Independent Registered Public Accounting Firm |
128 |
| Legal Matters |
128 |
| Incorporation by Reference |
128 |
| Appendix A - Description of Securities Ratings |
A-1 |
| Sales load (as a percentage of offering price)(1) |
[--] |
| Offering Expenses Borne by Common Shareholders (as a percentage of offering price)(2) |
[--] |
| Dividend Reinvestment Plan Fees(3) |
None |
| |
Percentage of Net Assets Attributable to Common Shares (reflecting leverage attributable to reverse repurchase agreements) |
| Management Fees(1) |
1.62% |
| Interest Payments on Borrowed Funds(2) |
2.16% |
| Other Expenses(3) |
0.01% |
| Total Annual Expenses(4) |
3.79% |
| |
1 Year |
3 Years |
5 Years |
10 Years |
| Total Expenses Incurred |
$38 |
$116 |
$195 |
$402 |
| |
|
Investment Operations |
Less Distributions(c) |
| ||||
| |
|
|
|
| ||||
| Selected Per Share Data for the Year or Period Ended^: |
Net Asset Value Beginning of Year or Period(a) |
Net Investment Income(Loss)(b) |
Net Realized/ Unrealized Gain (Loss) |
Total |
From Net Investment Income |
From Net Realized Capital Gains |
Tax Basis Return of Capital |
Total |
| PIMCO Dynamic Income Fund (Consolidated) |
|
|
|
| ||||
| 06/30/2026 |
$16.93 |
$1.86 |
$(0.46) |
$1.40 |
$(1.85) |
$0.00 |
$(0.80) |
$(2.65) |
| 06/30/2025 |
$16.82 |
$2.12 |
$0.23 |
$2.35 |
$(2.13) |
$0.00 |
$(0.52) |
$(2.65) |
| 06/30/2024 |
$17.27 |
$1.77 |
$0.19 |
$1.96 |
$(1.37) |
$0.00 |
$(1.28) |
$(2.65) |
| 06/30/2023 |
$19.72 |
$2.23 |
$(1.56) |
$0.67 |
$(3.30) |
$0.00 |
$0.00 |
$(3.30) |
| 06/30/2022 |
25.23 |
2.84 |
(5.77) |
(2.93) |
(2.65) |
0.00 |
0.00 |
(2.65) |
| 06/30/2021~ |
22.59 |
2.51 |
2.57 |
5.08 |
(2.52) |
0.00 |
(0.13) |
(2.65) |
| 06/30/2020~ |
28.29 |
2.92 |
(5.80) |
(2.88) |
(3.07) |
0.00 |
0.00 |
(3.07) |
| 06/30/2019~ |
28.98 |
2.73 |
(0.37) |
2.36 |
(3.15) |
0.00 |
0.00 |
(3.15) |
| 06/30/2018~ |
28.32 |
2.95 |
0.18 |
3.13 |
(2.65) |
0.00 |
0.00 |
(2.65) |
| 06/30/2017~ |
26.56 |
2.60 |
3.18 |
5.78 |
(4.10) |
0.00 |
0.00 |
(4.10) |
| |
|
Common Share |
|
Ratios/Supplemental Data |
| |||||||
| |
|
|
|
Ratios to Average Net Assets |
| |||||||
| Increase resulting from Common Share Offering |
Offering Cost Charged to Paid In Capital |
Net Asset Value End of Year or Period(a) |
Market Price End of Year or Period |
Total Investment Return(d) |
|
Net Assets Applicable to Common Shareholders End of Year or Period (000s) |
Expenses(e) |
Expenses Excluding Waivers(e) |
Expenses Excluding Interest Expenses |
Expenses Excluding Interest Expense and Waivers |
Net Investment Income (Loss) |
Portfolio Turnover Rate |
| |
|
|
|
|
|
|
|
|
|
|
|
|
| $0.26 |
$0.00 |
$15.94 |
$16.70 |
2.58 % |
$7,523,682 |
3.79 % |
3.79 % |
1.63 % |
1.63 % |
11.20 % |
30 % | |
| $0.41 |
$0.00 |
$16.93 |
$18.97 |
16.42 % |
$6,642,643 |
4.46 % |
4.46 % |
1.67 % |
1.67 % |
12.48 % |
28 % | |
| $0.24 |
$0.00 |
$16.82 |
$18.81 |
16.48 % |
$5,303,316 |
6.13 % |
6.13 % |
1.84 % |
1.84 % |
10.47 % |
17 % | |
| $0.18 |
$0.00 |
$17.27 |
$18.75 |
7.22 % |
$4,578,482 |
5.12 % |
5.12 % |
1.92 % |
1.92 % |
12.10 % |
20 % | |
| 0.07 |
0.00 |
19.72 |
20.87 |
(19.10 ) |
4,466,886 |
2.64 (f) |
2.64 (f) |
2.00 (f) |
2.00 (f) |
12.28 |
27 | |
| 0.21 |
0.00 |
25.23 |
28.81 |
29.29 |
1,781,435 |
2.78 |
2.78 |
2.04 |
2.04 |
10.36 |
38 | |
| 0.25 |
0.00 |
22.59 |
24.72 |
(14.18 ) |
1,375,107 |
3.72 |
3.72 |
1.99 |
1.99 |
11.44 |
21 | |
| 0.10 |
(0.00 ) |
28.29 |
32.15 |
12.03 |
1,603,368 |
3.96 |
3.96 |
1.89 |
1.89 |
9.70 |
12 | |
| 0.18 |
(0.00 ) |
28.98 |
31.87 |
15.54 |
1,575,523 |
4.07 |
4.07 |
2.01 |
2.01 |
10.26 |
9 | |
| 0.08 |
0.00 |
28.32 |
30.18 |
27.07 |
1,372,674 |
4.08 |
4.08 |
2.14 |
2.14 |
9.58 |
20 | |
| Assumed Portfolio Total Return |
(10.00)% |
(5.00)% |
0.00% |
5.00% |
10.00% |
| Common Share Total Return |
(16.81)% |
(9.47)% |
(2.12)% |
5.22% |
12.57% |
| Portfolio Manager |
Since |
Title |
Recent Professional Experience |
| Daniel J. Ivascyn |
2012 (Inception) |
Group Chief Investment Officer and Managing Director, PIMCO |
Prior to joining PIMCO in 1998, Mr. Ivascyn worked at Bear Stearns in the asset-backed securities group, as well as T. Rowe Price and Fidelity Investments. |
| Joshua Anderson |
2012 (Inception) |
Managing Director, PIMCO |
Mr. Anderson oversees the global ABS (asset-backed securities) portfolio management team and supports the firm’s opportunistic strategies. Prior to joining PIMCO in 2003, he was an analyst at Merrill Lynch covering both the residential ABS and collateralized debt obligation sectors. |
| Alfred T. Murata |
2012 (Inception) |
Managing Director, PIMCO |
Mr. Murata is a portfolio manager on the mortgage credit team. Prior to joining PIMCO in 2001, he researched and implemented exotic equity and interest-rate derivatives at Nikko Financial Technologies. |
| Title of Class |
Amount Authorized |
Amount Outstanding |
| Common Shares |
Unlimited |
476,616,492 |
| |
Common share market price(1) |
Common share net asset value |
Premium (discount) as a % of net asset value | |||
| Quarter |
High |
Low |
High |
Low |
High |
Low |
| Quarter ended June 30, 2026 |
$17.71 |
$16.22 |
$16.22 |
$15.70 |
10.14% |
2.85% |
| Quarter ended March 31, 2026 |
$18.96 |
$16.52 |
$17.01 |
$16.04 |
12.32% |
2.99% |
| Quarter ended December 31, 2025 |
$19.91 |
$17.32 |
$17.13 |
$16.82 |
16.77% |
2.91% |
| Quarter ended September 30, 2025 |
$20.07 |
$18.85 |
$17.11 |
$16.71 |
17.57% |
12.48% |
| Quarter ended June 30, 2025 |
$19.87 |
$17.02 |
$16.97 |
$16.26 |
17.09% |
2.72% |
| Quarter ended March 31, 2025 |
$20.05 |
$18.34 |
$17.29 |
$16.94 |
16.81% |
7.13% |
| Quarter ended December 31, 2024 |
$20.85 |
$18.33 |
$17.44 |
$17.05 |
19.76% |
7.01% |
| Quarter ended September 30, 2024 |
$20.27 |
$18.70 |
$17.41 |
$16.75 |
16.73% |
10.06% |
Investment Grade
PROSPECTUS
PROSPECTUS SUPPLEMENT
| THE FUND |
1 |
| INVESTMENT OBJECTIVES AND POLICIES |
1 |
| INVESTMENT RESTRICTIONS |
85 |
| Management of the Fund |
88 |
| Investment Manager |
104 |
| PORTFOLIO TRANSACTIONS AND BROKERAGE |
116 |
| DISTRIBUTIONS |
118 |
| DESCRIPTION OF SHARES |
119 |
| ANTI-TAKEOVER AND OTHER PROVISIONS IN THE DECLARATION OF TRUST |
119 |
| repurchase of common shares; CONVERSION TO OPEN-END FUND |
121 |
| TAXATION |
122 |
| PERFORMANCE RELATED AND COMPARATIVE INFORMATION |
141 |
| CUSTODIAN, TRANSFER AGENT AND DIVIDEND DISBURSEMENT AGENT |
141 |
| INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM |
141 |
| COUNSEL |
141 |
| REGISTRATION STATEMENT |
141 |
| FINANCIAL STATEMENTS |
142 |
| INCORPORATION BY REFERENCE |
142 |
| Appendix A |
A-1 |
| Name, Year of Birth and Class |
Position(s) Held with the Fund |
Term of Office and Length of Time Served** |
Principal Occupation(s) During the Past 5 Years |
Number of Portfolios in Fund Complex Overseen by Trustee*** |
Other Directorships Held by Trustee During the Past 5 Years |
| Alan Rappaport 1953 Class I |
Chair of the Board, Trustee |
Chair of the Board (January 2026 - Present); Trustee since 2010 |
Director, Victory Capital Holdings, Inc., an asset management firm (since 2013). Formerly, Adjunct Professor, New York University Stern School of Business (2011-2020); Lecturer, Stanford University Graduate School of Business (2013-2020); Advisory Director (formerly Vice Chairman), Roundtable Investment Partners (2009-2018); Member of Board of Overseers, NYU Langone Medical Center (2015-2016); Trustee, American Museum of Natural History (2005-2015); Trustee, NYU Langone Medical Center (2007-2015); and Vice Chairman (formerly, Chairman and President), U.S. Trust (formerly, Private Bank of Bank of America, the predecessor entity of U.S. Trust) (2001-2008). |
24 |
Trustee, Allianz Funds (2010-2021); Chairman of the Board of Trustees, Virtus Closed-End Funds (2021-2023) |
| Sarah E. Cogan 1956 Class III |
Trustee |
Since 2019 |
Retired Partner, Simpson Thacher & Bartlett LLP (law firm) (1989-2018); Director, Girl Scouts of Greater New York, Inc. (since 2016); and Trustee, Natural Resources Defense Council, Inc. (since 2013). |
24 |
Trustee, Allianz Funds (2019-2021); Trustee, Virtus Funds (2021-Present) |
| Name, Year of Birth and Class |
Position(s) Held with the Fund |
Term of Office and Length of Time Served** |
Principal Occupation(s) During the Past 5 Years |
Number of Portfolios in Fund Complex Overseen by Trustee*** |
Other Directorships Held by Trustee During the Past 5 Years |
| Kathleen A. McCartney 1955 Class I |
Trustee |
Since 2022 |
Director (since 2013) and President (since 2020), Five Colleges, Inc., consortium of liberal arts colleges and universities; President Emerita, Smith College (since 2023). Formerly, President, Smith College (2013-2023); Director, American Council on Education Board of Directors, (2015-2019); Director, Consortium on Financing Higher Education Board of Directors (2015-2019); Director, edX Board of Directors, online course provider (2012-2013); Director, Bellwether Education Partners Board, national nonprofit organization (2010-2013); Dean, Harvard Graduate School of Education (2006-2013); Trustee, Tufts University (2007-2013). |
24 |
None |
| Mark Michel(1) 1965 Class II |
Trustee |
Since 2025 |
Formerly, Audit Partner, Ernst & Young (2004-2025). |
24 |
None |
| Sonya Morris(1) 1962 Class II |
Trustee |
Since 2025 |
Formerly, Managing Director, Harbor Capital Advisors, an investment adviser (2013-2022); and Senior Investment Consultant (2010-2013) and Senior Mutual Fund Analyst and Editorial Director (2004-2010), Morningstar, Inc., a global provider of investment data and research. |
24 |
Trustee and Investment Committee Chair, City of Cincinnati Employee Retirement System, a public pension fund (Since 2023) |
| Name, Address and Year of Birth |
Position(s) Held with the Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
Number of Portfolios in Fund Complex Overseen by Trustee*** |
Other Directorships Held by Trustee During the Past 5 Years |
| Libby D. Cantrill***** 1977 Class III |
Trustee |
Since 2023 |
Managing Director, Head of Public Policy, PIMCO (since 2007); Institutional Account Manager, PIMCO (2007-2010); Legislative Aide, House of Representatives (2003-2005); Investment Banking Analyst, Morgan Stanley (2000-2003). |
24 |
Member of the Board of Directors, Covenant House New York (2021-Present); Member of the Board, Securities Industry and Financial Markets Association (2022-Present) |
| David Flattum***** 1964 Class II |
Trustee |
Since 2024 |
Consultant, PIMCO (2023-present); Global General Counsel, PIMCO (2006-2023); General Counsel and Chief Operating Officer, Allianz Asset Management of America (2001-2006). |
24 |
None |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Eric D. Johnson1 1970 |
President |
Since July 2026 |
Executive Vice President and Co-Head of Funds Business Group Americas, PIMCO. President, PIMCO-Managed Funds, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Flexible Real Estate Income Fund. |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Keisha Audain-Pressley 1975 |
Chief Compliance Officer |
Since 2018 |
Executive Vice President and Deputy Chief Compliance Officer, PIMCO. Chief Compliance Officer, PIMCO-Managed Funds, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, PIMCO Flexible Real Estate Income Fund and PIMCO Capital Solutions BDC Corp. |
| Ryan G. Leshaw1 1980 |
Chief Legal Officer and Secretary |
Chief Legal Officer Since 2019 Secretary Since 2024 |
Executive Vice President and Deputy General Counsel, PIMCO. Chief Legal Officer and Secretary, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Capital Solutions BDC Corp., Chief Legal Officer and Secretary, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. Director, PFLEX REIT LLC. |
| Joshua D. Ratner 1976 |
Senior Vice President |
Since July 2026 |
Executive Vice President and Head of Americas Operations - Client, Legal and Funds; Deputy General Counsel, PIMCO. Senior Vice President, PIMCO-Managed Funds, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT, and PIMCO Flexible Real Estate Income Fund. Director, PIMCO Canada Corp. Member, PIMCO Aurora LLC. Director, PFLEX REIT LLC. |
| Peter G. Strelow1 1970 |
Senior Vice President |
Since 2019 |
Managing Director and Co-Chief Operating Officer, PIMCO. Senior Vice President, PIMCO-Managed Funds, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT Formerly, Chief Administrative Officer, PIMCO. |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Douglas B. Burrill 1980 |
Vice President |
Since 2022 |
Executive Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Carol K Chan1 1982 |
Vice President |
Since 2024 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, and PIMCO Equity Series VIT. |
| Alyssa M. Creighton1 1974 |
Vice President |
Since 2024 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Jason R. Duran1 1977 |
Senior Vice President |
Since 2023 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Michele N. Ellis 1975 |
Vice President |
Since 2024 |
Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Capital Solutions BDC Corp., PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Flexible Real Estate Income Fund. |
| Kenneth W. Lee1 1972 |
Vice President |
Since 2022 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Greg J. Mason2 1980 |
Vice President |
Since 2023 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Colleen P. McLaughlin2 1983 |
Vice President |
Since 2024 |
Senior Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Shiv Narain1 |
Vice President |
Since 2024 |
Executive Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Keith A. Werber1 1973 |
Vice President |
Since 2022 |
Executive Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Paul T. Wildermuth1 1979 |
Vice President |
Since 2024 |
Vice President, PIMCO. Vice President, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Bijal Parikh1 1978 |
Treasurer |
Since 2021 |
Executive Vice President, PIMCO. Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. Director, PFLEX REIT LLC. |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Brandon T. Evans1 1982 |
Deputy Treasurer |
Since 2022 |
Senior Vice President, PIMCO. Deputy Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Erik C. Brown2 1967 |
Assistant Treasurer |
Since 2015 |
Executive Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series, PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Russel B. Davenport2 1986 |
Assistant Treasurer |
Since July 2026 |
Senior Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Laine E. Pacetti1 1989 |
Assistant Treasurer |
Since 2024 |
Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Jason R. Stern 1979 |
Assistant Treasurer |
Since 2024 |
Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Paul J. Vitale 1980 |
Assistant Treasurer |
Since July 2026 |
Senior Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Name, Address and Year of Birth |
Position(s) Held with Fund |
Term of Office and Length of Time Served |
Principal Occupation(s) During the Past 5 Years |
| Chi H. Vu1 1983 |
Assistant Treasurer |
Since 2024 |
Vice President, PIMCO. Assistant Treasurer, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT. |
| Myung F. Shin1 1986 |
Assistant Secretary |
Since July 2026 |
Vice President and Counsel, PIMCO. Assistant Secretary, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Morgan F. Willard 1994 |
Assistant Secretary |
Since July 2026 |
Vice President and Counsel, PIMCO. Assistant Secretary, PIMCO-Managed Funds, PIMCO Flexible Real Estate Income Fund, PIMCO Funds, PIMCO Variable Insurance Trust, PIMCO ETF Trust, PIMCO Equity Series and PIMCO Equity Series VIT and PIMCO Capital Solutions BDC Corp. |
| Name of Trustee |
Dollar Range of Equity Securities in the Fund |
Aggregate Dollar Range of Equity Securities in All Registered Investment Companies Overseen by Trustee in Family of Investment Companies(1) |
| Independent Trustees |
|
|
| Sarah E. Cogan |
$10,001 - $50,000 |
Over $100,000 |
| Kathleen A. McCartney |
None |
Over $100,000 |
| Mark Michel(2) |
None |
None |
| Sonya Morris(2) |
None |
None |
| Alan Rappaport |
$50,001 - $100,000 |
Over $100,000 |
| Interested Trustees |
|
|
| Libby D. Cantrill |
None |
None |
| David Flattum |
None |
None |
| Name of Trustee |
Name of Owners and Relationship to Trustee |
Company |
Title of Class |
Value of Securities |
Percent of Class |
| Sarah E. Cogan |
None |
N/A |
N/A |
N/A |
N/A |
| Kathleen A. McCartney |
None |
N/A |
N/A |
N/A |
N/A |
| Mark Michel |
None |
N/A |
N/A |
N/A |
N/A |
| Sonya Morris |
None |
N/A |
N/A |
N/A |
N/A |
| Alan Rappaport |
None |
N/A |
N/A |
N/A |
N/A |
| Beneficial Owner |
Class |
Percentage of Class |
| NATIONAL FINANCIAL SERVICES LLC 200 LIBERTY ST, ONE WORLD FINANCIAL CENTER NEW YORK NY 10281-1003 |
Common |
22.61% |
| MORGAN STANLEY SMITH BARNEY HARBORSIDE FINANCIAL CENTER,PLAZA 2 JERSEY CITY, NJ 07311 |
Common |
13.13% |
| MERRILL LYNCH PROFESSIONAL CLEARING CORP. 222 BROADWAY NEW YORK, NY 10038 |
Common |
5.30% |
| Record Owner |
Class |
Percentage of Class |
| CHARLES SCHWAB & CO INC 101 MONTGOMERY ST SAN FRANCISCO CA 94104-4151 |
Preferred |
25.03%* |
| Name of Trustee(1) |
Aggregate Compensation from the Fund for the Fiscal Year Ended June 30, 2026 |
Pension or Retirement Benefits Accrued as Part of Fund Expenses |
Estimated Annual Benefits Upon Retirement |
Total Compensation from the Fund Complex Paid to the Trustees for the Calendar Year Ending December 31, 2025 |
| Sarah E. Cogan |
$156,964 |
N/A |
N/A |
$305,000 |
| Deborah A. DeCotis(3) |
$130,082 |
N/A |
N/A |
$375,000 |
| Kathleen A. McCartney |
$72,534 |
N/A |
N/A |
$275,000 |
| Mark Michel(4) |
$58,340 |
N/A |
N/A |
$68,750 |
| Sonya Morris(4) |
$54,547 |
N/A |
N/A |
$68,750 |
| Alan Rappaport |
$85,237 |
N/A |
N/A |
$290,000 |
| E. Grace Vandecruze(5) |
$41,739 |
N/A |
N/A |
$320,000 |
| Fiscal Year |
Management Fee Paid by Fund (in thousands) |
| June 30, 2026 |
$117,415 |
| June 30, 2025 |
$100,039 |
| June 30, 2024 |
$89,082 |
| Portfolio Manager |
Total Number of Other Accounts |
Total Assets of All Other Accounts (in $ Millions) |
Number of Other Accounts Paying a Performance Fee |
Total Assets of Other Accounts Paying a Performance Fee (in $ Millions) |
| Joshua Anderson |
|
|
|
|
| Registered Investment Companies |
8 |
$256,028.93 |
0 |
$0.00 |
| Other Pooled Investment |
20 |
$15,780.15 |
10 |
$12,422.49 |
| Vehicles Other Accounts |
2 |
$118.69 |
0 |
$0.00 |
| Daniel J. Ivascyn |
|
|
|
|
| Registered Investment Companies |
26 |
$349,053.16 |
0 |
$0.00 |
| Other Pooled Investment |
29 |
$176,347.72 |
13 |
$23,324.32 |
| Vehicles Other Accounts |
26 |
$3,934.65 |
1 |
$320.81 |
| Alfred T. Murata |
|
|
|
|
| Registered Investment Companies |
25 |
$318,095.27 |
0 |
$0.00 |
| Other Pooled Investment |
24 |
$78,441.37 |
6 |
$15,417.66 |
| Vehicles Other Accounts |
6 |
$2,980.77 |
0 |
$0.00 |
| Name of Portfolio Manager |
Dollar Range of Equity Securities in the Fund |
| Joshua Anderson |
Over $100,000 |
| Daniel J. Ivascyn |
Over $100,000 |
| Alfred T. Murata |
Over $100,000 |
| Broker or Dealer |
Value of Securities Held by the Fund as of June 30, 2026 ($000) |
| J.P. Morgan Securities LLC |
$260,647 |
| BofA Securities, Inc. |
$251,097 |
| Morgan Stanley & Co. LLC |
$150,841 |
| Goldman Sachs & Co. LLC |
$165,846 |
| Citigroup Global Markets Inc. |
$63,600 |
| Barclays Capital Inc. |
$59,822 |
| Wells Fargo Securities, LLC |
$30,635 |
| UBS Securities LLC |
$612 |