PIMCO Funds Global Investors
ISIN:
                    IE00B1D7YK27
                    Current NAV:
                    25.24
                    Val.date:
                    2025-10-29
                    Year to date performance:
                    8.77%
                    Manager:
                    PIMCO Global Advisors Ireland Ltd
                    SFDR:
                    Article 6
                                            Documents: