Important risk disclosure

Please click here and read carefully the summary of the key features and risks specific to this fund stated in the offering document prepared by the relevant fund house before making any investment decision.

You should not rely solely on the information contained on this webpage to make investment decisions. You should read carefully and understand the relevant fund's offering documents before making any investment decision.

IE00B0V9TF31
PIMCO GIS Emerging Markets Bond Fund GBP-Hedged (Dist.)

  • Fixed income
  • Investment grade
  • Emerging markets
  • GBP Cash
  • Distributing
Invest with
GBP Cash
Payout type
Distributing
Risk rating
5
About this fund
Description
The Fund seeks to maximise total return, consistent with prudent investment management by investing at least 80% of its assets in fixed income instruments of issuers that economically are tied to countries with emerging securities markets, denominate...
Key information
Annual report
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Key fact sheet
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Prospectus
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Factsheet
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Our perspective
Why we think this fund is best-in-class
product
Product
Provides investors with diversified exposure to the yield potential of emerging markets hard currency fixed income. Actively manages exposure with tactical allocations to non-benchmark local currencies and instruments to maximize total return while managing risk relative to the benchmark.
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people
People
Managed by PIMCO, one of the world's largest dedicated fixed income managers, leveraging extensive firmwide resources. The strategy is led by senior portfolio managers Pramol Dhawan, Yacov Arnopolin, and Javier Romo, who each possess over 20 years of industry experience. The leadership team is supported by over 65 credit research analysts, with 30 analysts dedicated specifically to emerging markets coverage.
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performance
Performance
The fund has historically met its objective to deliver superior risk-adjusted returns relative to peers over a full market cycle. Performance is driven by a focus on maximizing total return potential while minimizing tracking error volatility relative to the benchmark.
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process
Process
Utilises a complementary analytical framework that integrates both quantitative and qualitative insights alongside top-down and bottom-up perspectives. The investment process begins with constructing an active risk-neutral portfolio to mitigate index replication costs, serving as a baseline for active view implementation.
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cost
Cost
Access to institutional share class with no trailer fees to achieve the lowest possible fees.
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selectionCriteria
How it fits in a portfolio
It functions as a tactical fixed income building block for investors seeking dedicated exposure to emerging market yields. Investors should note the specific regional risks involved and ensure the portfolio is diversified across other geographies.
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Invest in this fund
Performance
Shows the total return of this distributing fund, which includes dividends paid out.
All Time
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Total returns
All Time
172.42%
YTD
2.53%
1 month
1.25%
6 month
7.75%
1 year
14.63%
3 year
40.75%
5 year
18.00%
10 year
58.45%
As of Feb 2026
Distributions
6.94%
Frequency
Quarterly
30 Dec 2025
Yield
7.34%As of Dec 2025
Risk metrics
Max drawdown
-26.34%As of Feb 2026
Volatility
9.53%As of Feb 2026
Calendar returns
YearTotalJanFebMarAprMayJunJulAugSepOctNovDec
2026-1.3%1.2%----------
202516.1%1.9%1.9%-0.6%0.5%0.3%2.6%1.6%1.8%1.6%2.3%0.5%0.6%
20247.9%-0.8%0.6%2.5%-1.9%1.9%0.5%2.2%2.2%2.3%-2.1%1.6%-1.2%
202310.9%3.4%-2.2%1.1%0.0%-1.1%2.6%1.7%-1.4%-3.0%-1.2%5.7%5.2%
2022-18.0%-2.7%-6.2%-0.0%-5.4%0.0%-6.4%2.3%-1.1%-6.2%-0.6%7.3%0.3%
Load more5 of 22
Top Exposures
10 Year Treasury Note Future Mar 26 (2026-03-21 Maturity)15.76%
2 Year Treasury Note Future Mar 26 (2026-04-01 Maturity)6.22%
PIMCO US Dollar S/T Fl NAV Z USD Inc (2026-01-31 Maturity)4.05%
5 Year Treasury Note Future Mar 26 (2026-04-01 Maturity)3.92%
IRS EUR 2.00000 03/18/26-2Y LCH Receive (2028-03-18 Maturity)3.31%
RFR USD SOFR/3.75000 12/17/25-5Y CME Receive (2030-12-17 Maturity)2.72%
IRS CZK 3.71500 11/18/25-5Y CME Receive (2030-11-18 Maturity)1.27%
Euro Bobl Future Mar 26 (2026-03-07 Maturity)0.77%
INDONESIA AS SP GST (2030-12-20 Maturity)0.76%
ZCS BRL 9.84208 03/12/24-01/04/27 CME Receive (2027-01-04 Maturity)0.72%
ZCS BRL 14.41 12/11/24-01/04/27 CME Receive (2027-01-04 Maturity)0.72%
SAUDI ARABIA GOVT EM SP GST (2030-06-20 Maturity)0.68%
CASH COLLATERAL FUT BCY USD (2060-12-31 Maturity)0.39%
CASH COLLATERAL ICE MSC USD (2060-12-31 Maturity)0.30%
CASH COLLATERAL LCH MSC USD (2060-12-31 Maturity)0.22%
Top exposures represent up to 15 of the fund's largest exposures for each category. Allocation percentages may not sum up to 100% and can include negative values due to rounding or trading activities by the underlying fund managers, including short positions.
Fund fees
0.79% p.a.
Fund facts
ISIN
IE00B0V9TF31
Fund house
PIMCO
Fund size
£5.3B
As of 27 Feb 2026
Fund inception date
30 Dec 2005
Fund class currency
GBP
Fund share class
INST GBP Hedged Inc
Oldest share class ISIN
IE0030759645
Oldest share inception date
31 Jul 2001
Pricing frequency
Daily

Warning statements

  • All investments involve risks (including the possibility of loss of the capital invested) and the price of fund units may go up as well as down.
  • Past performance is not indicative of future performance.
  • Although this fund has been authorised by the Hong Kong Securities and Futures Commission (“SFC”), it does not imply an official recommendation or endorsement by the SFC nor does it guarantee the commercial merits of the fund or its performance.
  • If you are in any doubt, you should clarify with us or seek independent professional advice.

Risk Warnings Investment involves risk. Past performance is not an indicator nor a guarantee of future performance or returns. Projected performance or returns are not guaranteed to materialise. The value of investments and the income from them can go down as well as up, and you may not get the full amount you invested. Rates of exchange may cause the value of investments to go up or down. Individual stock performance does not represent the return of a fund.

The value of the fund can be volatile and can go down substantially within a short period of time. It is possible that a certain amount or all of your investment could be lost.

Generic risk warnings relating to collective investment schemes

Funds are not a bank deposit and not capital guaranteed, and is subject to investment risks, including the possible loss of the principal amount invested. There is no assurance that a fund will have sufficient liquidity to meet redemption requests and that the fund's investment objectives and strategies will be achieved.

The funds' investment may involve substantial market, currency, volatility, liquidity, regulatory and political risks. Some funds may use derivatives, whether for hedging or for investment purposes. The risks associated with derivatives include counterparty/credit, liquidity, valuation, volatility and market risks. The fund's volatility may increase or decrease from its derivative usage and such fund may suffer losses from its derivative usage. Do not invest in these funds unless you fully understand and are willing to assume the risks associated with them.

Opinions Any forward-looking statements, prediction, projection or forecast on the economy, stock market, bond market or economic trends of the markets contained in this material are subject to market influences and contingent upon matters outside the control of Endowus HK Limited (“Endowus”) and therefore may not be realised in the future. Further, any opinion or estimate is made on a general basis and subject to change without notice. In presenting the information above, none of Endowus HK Limited, its affiliates, directors, employees, representatives or agents have given any consideration to, nor have made any investigation of the objective, financial situation or particular need of any user, reader, any specific person or group of persons. Therefore, no representation is made as to the completeness and adequacy of the information to make an informed decision. You should carefully consider (i) whether any investment views and products/ services are appropriate in view of your investment experience, objectives, financial resources and relevant circumstances. You may also wish to seek financial advice through a financial advisor or the Endowus platform and independent legal, accounting, regulatory or tax advice, as appropriate.

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Product Risk Rating Please note that any product risk rating (the “PRR”) provided by us is an internal rating assigned based on our product risk assessment model, and is for your reference only. The PRR is subject to change from time to time. The PRR does not take into account your individual circumstances, objectives or needs and should not be regarded as advice or recommendation to purchase, hold or sell any fund or make any other investment decisions. Accordingly, you should not solely rely on the PRR in making your investment decision in the relevant Fund.

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