PMLCX
PIMCO Municipal Bond Fund
PIMCO Funds
Fund of funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
739
Top-10 weight
19.19%
Effective holdings ?
94
Crowding ?
48.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 PIMCO PRV SHORT TERM FLT III MUTUAL FUND 42,378,562 $412.72M 8.56%
2 US TREASURY N/B 121,900,000 $120.95M 2.51%
3 US TREASURY N/B 96,600,000 $94.73M 1.97%
4 US TREASURY N/B 62,200,000 $64.06M 1.33%
5 US TREASURY N/B 46,700,000 $47.31M 0.98%
6 ARKANSAS DEV FIN AUTH ENVIRONM REGD V/R B/E AMT 4.00000000 41,200,000 $41.02M 0.85%
7 OH BUCGEN 5 06/01/2055 BUCGEN 46,195,000 $37.30M 0.77%
8 PUERTO RICO SALES TAX FING COR REGD ZCP OID B/E 0.00000000 PRCGEN 99,794,000 $35.14M 0.73%
9 TX TRANSPRTN FIN-A 31,900,000 $32.93M 0.68%
10 BONNIE BRAE FIXED TERM LOAN 31,400,000 $31.83M 0.66%
11 NY TWY AUTH-B-GROUP-2 30,090,000 $30.65M 0.64%
12 Southeast Energy Authority, Alabama, Revenue Bonds, Cooperative District Energy Supply Series 2025B SEEPWR 26,900,000 $27.65M 0.57%
13 Public Energy Auth. of Kentucky Gas Supply Rev. Refg. C KYSPWR 25,950,000 $27.33M 0.57%
14 New York Transportation Development Corporation, New York, Special Facility Revenue Bonds, John F Kennedy International Airport Terminal One Project, 26,410,000 $27.15M 0.56%
15 NY TRNSPRTN DEV CRP-A NYTTRN 26,400,000 $26.57M 0.55%
16 FL ST DFC(BRIGHTLINE FL)/AGM 5.25% 7/1/53@ 25,650,000 $24.92M 0.52%
17 MIAMI DADE CNTY FL SCH DIST MIASCD 03/42 FIXED 4 24,700,000 $24.35M 0.51%
18 CHICAGO IL BRD OF EDU REGD B/E 6.25000000 CHIEDU 22,500,000 $23.58M 0.49%
19 DENTON ESSENTIAL INVTS PFC TEXESSENTIAL FUNCTION HSG DEV REV EDEN VLG TOWNHOMES-SERA A 22,500,000 $21.92M 0.45%
20 PUERTO RICO SALES TAX FING COR REGD ZCP OID B/E 0.00000000 PRCGEN 84,762,000 $21.73M 0.45%
21 STATE OF NEW YORK SALES TAX REVENUE 5.0% 03-15-55 20,950,000 $21.45M 0.45%
22 CALIFORNIA HSG FIN AGY LTD OBL VARIABLE-REF-VOSE APARTMENTS-K 20,500,000 $20.72M 0.43%
23 FHLMC Multifamily VRD Certificates 19,782,074 $20.61M 0.43%
24 TX WTR DEV BRD-A -REV TXSWTR 19,825,000 $20.21M 0.42%
25 Southeast Energy Authority, Alabama, A Cooperative District Energy Supply Revenue Bonds Series 2024A SEEPWR 18,800,000 $19.22M 0.40%
26 FRETE-A-ML20 18,974,980 $19.09M 0.40%
27 WA WASHSG 11/20/2041 WASHSG 20,084,851 $19.04M 0.40%
28 Main Street Natural Gas, Inc., Series 2025B MAIUTL 17,500,000 $18.39M 0.38%
29 FREDDIE MAC MULTIFAMILY ML CERTIFICATES SER 2023-ML19 CL AUS V/R 3.99608400 18,332,460 $18.21M 0.38%
30 N ORLEANS AVIAT 5.25% 1/1/2042 @ 17,180,000 $18.19M 0.38%
31 County of Allen, Hospital Facilities, Bon Secours Mercy Health, Inc., Series 2025A 16,500,000 $17.57M 0.36%
32 NY TRANSPRTN DEV CORP NYTTRN 16,500,000 $17.31M 0.36%
33 NH NFADEV 11/20/2042 NFADEV 17,988,251 $17.28M 0.36%
34 NYC TRANSITIONAL-F-1 15,000,000 $16.86M 0.35%
35 DENTON TX INDEP SCH DIST DNNSCD 08/53 FIXED 5 16,500,000 $16.81M 0.35%
36 NH NFADEV 01/20/2041 NFADEV 17,242,418 $16.70M 0.35%
37 NY NYCDEV 5 11/15/2044 NYCDEV 16,500,000 $16.50M 0.34%
38 MUNIBOND BBEUTL 15,450,000 $16.35M 0.34%
39 OHIO VALLEY ELECTRIC CORP 4.25% 11-01-30 INDGEN 15,835,000 $16.25M 0.34%
40 NH NFADEV 02/20/2041 NFADEV 15,856,525 $16.24M 0.34%
41 OHIO ST HSG FIN AGY RSDL MTGE OHSHSG 03/55 FIXED 6.25 14,710,000 $16.12M 0.33%
42 WI PUBTRN 5.75 12/31/2065 PUBTRN 15,650,000 $15.98M 0.33%
43 UNITED AIRLINES INC 5.5% 07-15-36 15,000,000 $15.82M 0.33%
44 MONTGOMERY CNTY OH HOSP REVENU MONMED 11/45 ADJUSTABLE VAR 15,735,000 $15.74M 0.33%
45 MA ST TRANS REV 5% 6/1/50 MASTRN 15,000,000 $15.40M 0.32%
46 Washington Metropolitan Area Transit Authority, Series 2024A 14,900,000 $15.16M 0.31%
47 Chicago O'Hare International Airport, Series D 15,000,000 $15.00M 0.31%
48 NYC-D4 15,000,000 $15.00M 0.31%
49 CALIFORNIA HSG FIN AGY LTD OBL CA HSG FIN AGY I 1 15,000,000 $15.00M 0.31%
50 BLACK BELT ENERGY GAS DISTRICT (MPT) 5.0% 03-01-55 BBEUTL 14,000,000 $14.83M 0.31%
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