This may expose the fund to larger gains or losses associated with market movements or in relation to a trade counterparty being unable to meet its obligations.Įmerging markets, and especially frontier markets, generally carry greater political, legal, counterparty and operational risk. The use of certain derivatives could result in the fund having a greater or more volatile exposure to the underlying assets and an increased exposure to counterparty risk. Drivers of price fluctuations include general economic and political factors as well as industry or company specific factors. ![]() The value of equity or equity related securities may be affected by stock market movements. The value of commodity related investments may fluctuate substantially due to changes in supply and demand and/or due to political, economic or financial events.Ĭhanges in exchange rates may cause the value of investments to decrease or increase. Funds with high exposures to non-investment grade securities have a higher exposure to this risk. This could cause the value of its bonds to fall or become worthless. Fund Specific RisksĪ decline in the financial health of an issuer of a fixed income security can lead to an inability or unwillingness to repay a loan or meet a contractual obligation. Investors in the fund gain access to PIMCO’s highest conviction top-down and bottom-up investment ideas across asset classes, regions, and sectors. ![]() The Fund is a comprehensive global asset allocation strategy designed to serve as a core holding in investor portfolios. Please refer to the Prospectus of the PIMCO Funds: Global Investors Series Plc and to the PRIIPs KID / UK KIID before making any final investment decisions.
0 Comments
Leave a Reply. |
AuthorWrite something about yourself. No need to be fancy, just an overview. ArchivesCategories |