IE00B6VH4D24
PIMCO GIS Capital Securities Fund

  • Fixed income
  • Investment grade
  • Global
  • USD Cash
  • Accumulating
Invest with
USD Cash
Payout type
Accumulating
Risk rating
5
About this fund
Description
The Fund seeks to provide focused exposure to attractively priced Capital Securities together with maximum total return.
Key information
Annual report
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Product Highlight Sheet
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Prospectus
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Information Memorandum
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Factsheet
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Our perspective
Why we think this fund is best-in-class
product
Product
Provides exposure to the global financial sector by investing primarily in subordinated debt instruments, known as capital securities, issued mainly by banks and insurance companies. Invests across the entire capital structure of financial institutions, aiming to capture relative value opportunities while offering yield enhancement over traditional high-yield bonds.
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people
People
Managed by a seasoned portfolio management team possessing an average of more than 19 years of relevant industry experience. The team leverages PIMCO's extensive resources to ensure stability and in-depth coverage of the global financial sector.
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performance
Performance
Has delivered attractive returns relative to peers over a full market cycle through active management. Performance is driven by the capture of structural premiums associated with capital securities while managing volatility relative to bank equities.
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process
Process
Employs a proven investment process that integrates rigorous bottom-up fundamental credit research with top-down macroeconomic analysis. Utilises a flexible, active approach to allocate capital to the most attractive segments of the financial capital structure based on proprietary valuation models. Focuses on prudent issuer diversification and the active management of specific risks, including extension risk and potential coupon deferrals.
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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
Serves as a satellite allocation for investors seeking specific exposure to the fundamentals of the global banking and financial sector. Acts as a diversifying building block within a broader portfolio, offering a unique risk-return profile situated between traditional fixed income and equities. Investors should note the concentrated sector exposure and specific credit risks associated with investing in subordinated debt instruments.
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Performance
Shows the total return of this accumulating fund, which includes dividends reinvested.
All Time
​
Total returns
All Time
109.16%
YTD
1.73%
1 month
0.68%
6 month
5.08%
1 year
9.73%
3 year
31.19%
5 year
25.24%
10 year
88.88%
As of Feb 2026
Distributions
This is an accumulating fund, so dividends are re-invested at the fund level.
Yield
7.54%As of Dec 2025
Risk metrics
Max drawdown
-18.44%As of Feb 2026
Volatility
7.98%As of Feb 2026
Calendar returns
YearTotalJanFebMarAprMayJunJulAugSepOctNovDec
2026-1.0%0.7%----------
202510.5%1.3%1.2%-0.7%0.0%1.3%1.6%1.1%0.9%1.1%1.6%0.3%0.3%
202410.4%0.8%0.1%1.9%-0.7%1.9%0.4%2.0%1.5%1.5%-0.4%0.7%0.4%
20239.1%4.7%-1.3%-6.3%1.3%0.6%0.3%2.5%-0.6%-0.1%-0.4%4.7%4.0%
2022-11.5%-1.9%-2.9%-0.4%-3.6%-0.2%-6.1%4.8%-2.5%-6.4%2.8%4.2%0.9%
Load more5 of 14
Top Exposures
10 Year Treasury Note Future Mar 26 (2026-03-21 Maturity)13.48%
2 Year Treasury Note Future Mar 26 (2026-04-01 Maturity)9.82%
CDX IG45 5Y ICE (2030-12-20 Maturity)7.30%
RFR GBP SONIO/3.75000 09/17/25-5Y LCH Receive (2030-09-17 Maturity)3.51%
United States Treasury Bills 0% (2026-04-28 Maturity)2.00%
Credit Agricole S.A. 7.25%1.71%
Euro Bobl Future Mar 26 (2026-03-07 Maturity)1.44%
Lloyds Banking Group PLC 8.5%1.41%
United States Treasury Bills 0% (2026-01-29 Maturity)1.18%
5 Year Treasury Note Future Mar 26 (2026-04-01 Maturity)1.15%
Nationwide Building Society 7.875%1.13%
Cooperatieve Rabobank U.A. 3.1%1.10%
UBS Group AG 9.25%1.09%
United States Treasury Bills 0% (2026-01-20 Maturity)1.07%
Caixabank S.A. 8.25%1.02%
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.
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Fund facts
ISIN
IE00B6VH4D24
Fund house
PIMCO
Fund size
US$6B
As of 27 Feb 2026
Fund inception date
31 Jul 2013
Fund class currency
USD
Fund share class
USD Ins Acc
Oldest share class ISIN
IE00B6VH4D24
Oldest share inception date
31 Jul 2013
Pricing frequency
Daily

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