PIMCO GIS (Ireland) Financial Indicators Patterns

IE00BMTRWY37 -- Ireland Fund  

USD 10.84  0.00  0.00%

Please use PIMCO GIS US fundamental data analysis to find out if markets are now mispricing the entity. We found five available financial ratios for PIMCO GIS US which can be compared to its competitors. Please check PIMCO GIS US Minimum Initial Investment, Cash Position Weight as well as the relationship between Cash Position Weight and Bond Positions Weight to decide if PIMCO GIS US is priced adequately. Use PIMCO GIS to protect against small markets fluctuations. The fund experiences normal downward trend, but the immediate impact on correlations cannot be determined at the moment . Check odds of PIMCO GIS to be traded at $10.73 in 30 days

PIMCO GIS Company Summary

The investment objective of the US Short-Term Fund is to seek maximum current income consistent with the preservation of capital and daily liquidity. PIMCO GIS is traded on Irland Stock Exchange in Ireland.

PIMCO GIS Cash Position Weight vs Bond Positions Weight

PIMCO GIS US Short Term Inst USD Acc is currently considered the top fund in cash position weight among similar funds. It is currently considered the top fund in bond positions weight among similar funds creating about  0.89  of Bond Positions Weight per Cash Position Weight. The ratio of Cash Position Weight to Bond Positions Weight for PIMCO GIS US Short Term Inst USD Acc is roughly  1.12 

PIMCO GIS Market Fundamentals

 Quote10.84
 Change(%) 0.00%
 Change0.00 Price Moved None
 Open10.84
 Low10.84
 High10.84
 Volume0
 ExchangeISE

Distress Rating

PIMCO GIS Financial Distress Probability

44% 
Chance of Financial Distress
PIMCO GIS US Short Term Inst USD Acc has less than 44 (%) percent chance of experiencing financial distress in the next 2 years of operations. More Info

Compare PIMCO GIS

Compare PIMCO GIS To Peers

PIMCO GIS Opportunity Range

November 13, 2018 Opportunity Range

Please also check Risk vs Return Analysis. Please also try Portfolio Backtesting module to avoid under-diversification and over-optimization by backtesting your portfolios.
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