PMNIX
PIMCO National Intermediate Municipal Bond Fund
PIMCO Funds
Fund of funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
539
Top-10 weight
19.49%
Effective holdings ?
91
Crowding ?
45.4

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 PIMCO PRV SHORT TERM FLT III MUTUAL FUND 12,545,236 $122.18M 8.48%
2 US TREASURY N/B 36,300,000 $36.02M 2.50%
3 US TREASURY N/B 29,400,000 $28.83M 2.00%
4 US TREASURY N/B 18,600,000 $19.16M 1.33%
5 US TREASURY N/B 13,900,000 $14.08M 0.98%
6 Public Energy Auth. of Kentucky Gas Supply Rev. Refg. C KYSPWR 12,250,000 $12.90M 0.90%
7 FORT BEND TX INDEP SCH DIST REGD V/R B/E PSF-GTD 3.80000000 12,250,000 $12.48M 0.87%
8 Chandler Industrial Development Authority, Series 2019 CHADEV 11,000,000 $11.14M 0.77%
9 MI ST HSG DEV AUTH-C 10,100,000 $11.12M 0.77%
10 FHLMC Multifamily VRD Certificates 10,338,370 $10.77M 0.75%
11 Freddie Mac Structured Pass-Through Certificates 4.618%, Due 08/25/2041 9,917,584 $10.18M 0.71%
12 COLORADO ST BRD OF GOVERNORS UNIV ENTERPRISE SYS REVENUE 9,975,000 $9.98M 0.69%
13 FLORIDA ST DEV FIN CORP SOL WST DISP REVENUE 9,000,000 $9.00M 0.62%
14 PUERTO RICO SALES TAX FING COR REGD OID B/E 5.00000000 PRCGEN 9,327,000 $8.88M 0.62%
15 LAS VARAS PUBLIC FAC CORP TX M LAVMFH 05/43 ADJUSTABLE VAR 8,500,000 $8.62M 0.60%
16 Main Street Natural Gas, Inc., Series 2025B MAIUTL 8,200,000 $8.62M 0.60%
17 Pennsylvania State, General Obligation Bonds, First Series 2026 7,860,000 $8.58M 0.60%
18 Northampton County General Purpose Authority 8,350,000 $8.35M 0.58%
19 TX EXXON 12 G=EXXON V1 8,000,000 $8.00M 0.56%
20 New York (City of), NY Municipal Water Finance Authority, Series 2014 AA-6, VRD RB 8,000,000 $8.00M 0.56%
21 Black Belt Energy Gas District, Series 2025 G BBEUTL 7,435,000 $7.75M 0.54%
22 District of Columbia, Series 2025A 7,000,000 $7.67M 0.53%
23 Wayne County Airport Authority, Michigan, Revenue Bonds, Detroit Metropolitan Wayne County Airport, Series 2023E 7,210,000 $7.59M 0.53%
24 GAINESVILLE FL UTILITIES SYS R GAIUTL 10/42 ADJUSTABLE VAR 7,495,000 $7.50M 0.52%
25 Tender Option Bond Trust Receipts/Certificates SEEPWR 7,300,000 $7.35M 0.51%
26 EP ESSENTIAL HSG 7,400,000 $7.26M 0.50%
27 PUERTO RICO SALES TAX FING COR REGD ZCP OID B/E 0.00000000 PRCGEN 20,200,000 $7.11M 0.49%
28 AR ARSDEV 09/01/2046 7,000,000 $6.96M 0.48%
29 MUNIBOND CHADEV 6,500,000 $6.60M 0.46%
30 NYC WTR VAR 6/15/2033 6,440,000 $6.44M 0.45%
31 UNITED AIRLINES INC 5.25% 07-15-34 HOUAPT 6,000,000 $6.30M 0.44%
32 TX WTR DEV BRD -REV 5,860,000 $6.07M 0.42%
33 NEW YORK ST DORM AUTH SALES TAX REVENUE 6,000,000 $6.05M 0.42%
34 TX SANUTL 02/01/2055 SANUTL 6,000,000 $5.99M 0.42%
35 WV EDA SLD WAST 5.45% MT @ 5,190,000 $5.64M 0.39%
36 GRAND PKWY TRANSPRTN 5,500,000 $5.61M 0.39%
37 FED HM LN PC POOL WE6111 FR 01/40 FIXED 3.8 5,876,767 $5.61M 0.39%
38 CALIFORNIA HSG FIN AGY LTD OBL VARIABLE-REF-VOSE APARTMENTS-K 5,500,000 $5.56M 0.39%
39 MA ST 5% 4/1/2041 5,000,000 $5.51M 0.38%
40 ILLINOIS ST FIN AUTH REVENUE ILSGEN 08/32 FIXED 5 5,000,000 $5.47M 0.38%
41 MEDFORD OR HOSP FACS AUTH REVE MFDMED 08/38 FIXED 5 5,195,000 $5.42M 0.38%
42 OH OHSDEV 11/01/2039 OHSDEV 5,285,000 $5.33M 0.37%
43 TN ENERGY ACQ CORP-A 5,000,000 $5.29M 0.37%
44 NY TRANS CORP 4% 10/1/2030@ NYTTRN 5,000,000 $5.08M 0.35%
45 IN FIN ECON VAR MT@ 5,075,000 $5.07M 0.35%
46 Tarrant County Cultural Education Facilities, Texas, Finance Corporation Revenue Bonds, Christus Health, Refunding Series 2018B 4,965,000 $5.03M 0.35%
47 WA WASHSG 11/20/2041 WASHSG 5,269,788 $5.00M 0.35%
48 FREDDIE MAC MULTIFAMILY ML CERTIFICATES SER 2023-ML19 CL AUS V/R 3.99608400 5,017,305 $4.98M 0.35%
49 FED HM LN PC POOL WE6098 FR 11/40 FIXED 4.4 4,924,946 $4.95M 0.34%
50 FL ST DFC 5% 7/1/2044 @ 5,000,000 $4.87M 0.34%
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