Schedule of Investments PIMCO Dividend and Income Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

PRINCIPAL
AMOUNT
(000s)

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 131.9% ¤

 

 

 

 

ASSET-BACKED SECURITIES 16.6%

 

 

 

 

CAYMAN ISLANDS 4.0%

 

 

 

 

CMBS OTHER 0.2%

 

 

 

 

PFP Ltd.
6.154% due 09/17/2039 ~

$

390

$

392

OTHER ABS 3.8%

 

 

 

 

522 Funding CLO Ltd.
5.490% due 10/23/2034 ~

 

400

 

399

AGL CLO Ltd.
5.755% due 07/20/2034 •

 

400

 

400

Anchorage Credit Funding Ltd.

 

 

 

 

3.900% due 07/28/2037

 

434

 

429

3.928% due 04/25/2038

 

400

 

388

4.620% due 04/25/2037

 

418

 

419

4.430% due 07/25/2037

 

430

 

422

Atlas Senior Loan Fund Ltd.
5.510% due 10/23/2032 ~

 

370

 

370

Centerbridge Credit Funding Ltd.
3.164% due 07/25/2039

 

450

 

427

CIFC Funding Ltd.
5.704% due 07/15/2036 ~

 

400

 

400

LCM Ltd.
5.573% due 07/20/2034 •

 

400

 

400

Newark BSL CLO Ltd.
5.532% due 07/25/2030 ~

 

198

 

198

Ocean Trails CLO
5.592% due 07/15/2034 •

 

400

 

400

Palmer Square CLO Ltd.
5.613% due 04/20/2035 ~

 

800

 

801

TIAA CLO Ltd.
5.433% due 01/20/2032 ~

 

321

 

322

Tralee CLO Ltd.
5.520% due 10/25/2032 •

 

352

 

351

Voya CLO Ltd.
5.644% due 10/17/2032 ~

 

782

 

783

 

 

 

 

6,909

Total Cayman Islands

 

 

 

7,301

IRELAND 0.7%

 

 

 

 

OTHER ABS 0.7%

 

 

 

 

Arbour CLO DAC
3.681% due 12/15/2038 •

EUR

400

 

433

Invesco Euro CLO DAC
3.725% due 10/30/2038 •

 

400

 

432

Palmer Square European Loan Funding DAC
3.526% due 05/15/2033 •

 

321

 

348

 

 

 

 

1,213

Total Ireland

 

 

 

1,213

ITALY 0.2%

 

 

 

 

AUTOMOBILE ABS OTHER 0.2%

 

 

 

 

Golden Bar Securitisation
3.437% due 09/22/2043 •

 

358

 

390

Total Italy

 

 

 

390

JERSEY, CHANNEL ISLANDS 0.2%

 

 

 

 

OTHER ABS 0.2%

 

 

 

 

37 Capital CLO Ltd.
5.592% due 07/15/2034 ~

 

 

$

400

 

400

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total Jersey, Channel Islands

 

 

 

400

UNITED STATES 11.5%

 

 

 

 

AUTOMOBILE ABS OTHER 0.1%

 

 

 

 

Santander Bank Auto Credit-Linked Notes
4.965% due 01/18/2033

 

250

 

251

AUTOMOBILE SEQUENTIAL 2.8%

 

 

 

 

Bridgecrest Lending Auto Securitization Trust
5.540% due 02/16/2027

 

207

 

207

Carvana Auto Receivables Trust

 

 

 

 

6.160% due 10/10/2028

 

400

 

405

5.820% due 08/10/2028

 

400

 

404

Chase Auto Owner Trust
5.250% due 09/27/2027

 

295

 

296

Ent Auto Receivables Trust
6.240% due 01/16/2029

 

392

 

397

Exeter Automobile Receivables Trust
5.600% due 05/17/2027

 

209

 

209

First Investors Auto Owner Trust
6.440% due 10/16/2028

 

165

 

166

GLS Auto Receivables Issuer Trust
4.760% due 10/15/2027

 

390

 

390

GLS Auto Select Receivables Trust

 

 

 

 

6.370% due 06/15/2028

 

184

 

186

5.590% due 10/15/2029

 

351

 

355

GM Financial Consumer Automobile Receivables Trust
5.130% due 04/16/2029

 

800

 

810

Octane Receivables Trust
4.940% due 05/20/2030

 

400

 

401

Research-Driven Pagaya Motor Asset Trust
7.130% due 01/26/2032

 

450

 

453

SCCU Auto Receivables Trust
5.110% due 06/15/2029

 

400

 

404

 

 

 

 

5,083

CMBS OTHER 0.1%

 

 

 

 

LCCM Trust
5.884% due 11/15/2038 •

 

241

 

243

HOME EQUITY OTHER 4.0%

 

 

 

 

Bear Stearns Asset-Backed Securities Trust
6.059% due 12/25/2034 •

 

748

 

742

Citigroup Mortgage Loan Trust
5.065% due 02/25/2035 •

 

797

 

747

Credit Suisse First Boston Mortgage Securities Corp.
4.827% due 01/25/2032 •

 

338

 

330

EMC Mortgage Loan Trust
5.735% due 02/25/2041 ~

 

17

 

16

FBR Securitization Trust
5.140% due 11/25/2035 ~

 

558

 

552

Home Equity Asset Trust
5.140% due 01/25/2036 ~

 

100

 

95

Morgan Stanley Home Equity Loan Trust
4.535% due 12/25/2036 ~

 

1,245

 

596

Option One Mortgage Loan Trust
4.655% due 04/25/2037 ~

 

1,673

 

1,180

Residential Asset Mortgage Products Trust
5.500% due 05/25/2035 •

 

1,000

 

971

Residential Asset Securities Corp. Trust
5.320% due 01/25/2034 ~

 

70

 

71

Soundview Home Loan Trust

 

 

 

 

5.435% due 09/25/2037 ~

 

1,715

 

1,232

4.840% due 12/25/2036 •

 

708

 

702

Structured Asset Investment Loan Trust
4.585% due 09/25/2036 ~

 

113

 

112

 

 

 

 

7,346

OTHER ABS 3.8%

 

 

 

 

ECMC Group Student Loan Trust
5.604% due 11/25/2069 ~

 

619

 

624

GreenSky Home Improvement Trust

 

 

 

 

5.880% due 06/25/2059

 

103

 

104

5.250% due 10/27/2059

 

310

 

311

5.320% due 03/25/2060

 

400

 

402

Lendmark Funding Trust
5.530% due 06/21/2032

 

200

 

203

Navient Private Education Refi Loan Trust
1.330% due 04/15/2069

 

162

 

149

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Navient Student Loan Trust

 

 

 

 

5.504% due 12/27/2066 ~

 

294

 

298

5.354% due 08/26/2069 ~

 

526

 

530

Nelnet Student Loan Trust
4.875% due 09/27/2066 •

 

113

 

113

Pagaya AI Debt Selection Trust

 

 

 

 

7.600% due 12/16/2030

 

29

 

29

6.117% due 12/15/2031

 

194

 

196

5.183% due 06/15/2032

 

288

 

289

5.092% due 07/15/2032

 

349

 

349

Reach ABS Trust

 

 

 

 

6.300% due 02/18/2031

 

54

 

55

5.880% due 07/15/2031

 

228

 

229

SLM Private Credit Student Loan Trust
4.891% due 06/15/2039 •

 

550

 

536

SLM Student Loan Trust
5.254% due 03/25/2026 ~

 

599

 

599

SMB Private Education Loan Trust

 

 

 

 

5.799% due 02/16/2055 ~

 

502

 

509

5.447% due 07/15/2053 •

 

733

 

735

5.060% due 03/16/2054

 

378

 

380

Tesla Sustainable Energy Trust
5.080% due 06/21/2050

 

400

 

402

 

 

 

 

7,042

WHOLE LOAN COLLATERAL 0.7%

 

 

 

 

PRET LLC

 

 

 

 

6.996% due 07/25/2054 þ

 

759

 

759

5.487% due 10/25/2051 þ

 

451

 

451

 

 

 

 

1,210

Total United States

 

 

 

21,175

Total Asset-Backed Securities (Cost $31,159)

 

 

 

30,479

LOAN PARTICIPATIONS AND ASSIGNMENTS 0.5%

 

 

 

 

FRANCE 0.0%

 

 

 

 

Altice France SA
9.802% due 08/15/2028

 

99

 

89

Total France

 

 

 

89

UNITED KINGDOM 0.1%

 

 

 

 

Softbank Vision Fund II
6.000% due 12/23/2025 «•

 

264

 

262

Total United Kingdom

 

 

 

262

UNITED STATES 0.4%

 

 

 

 

Envision Healthcare Corp.

 

 

 

 

11.152% due 07/20/2026 «

 

124

 

124

12.277% due 11/03/2028 «

 

481

 

488

Hudson's Bay Co. «
TBD% due 04/03/2026

 

29

 

29

Lealand Finance Co. BV
7.439% due 06/30/2027 ~

 

1

 

1

Lealand Finance Co. BV (5.439% Cash and 3.000% PIK)
8.439% - 5.439% due 12/31/2027 ~(a)

 

3

 

1

Syniverse Holdings, Inc.
11.299% due 05/13/2027

 

8

 

8

U.S. Renal Care, Inc.
9.439% due 06/20/2028 ~

 

13

 

12

Westmoreland Coal Co. «
8.000% due 03/15/2029

 

2

 

1

Total United States

 

 

 

664

Total Loan Participations and Assignments (Cost $991)

 

 

 

1,015

 

 

SHARES

 

 

COMMON STOCKS 47.0%

 

 

 

 

AUSTRALIA 0.7%

 

 

 

 

INDUSTRIALS 0.4%

 

 

 

 

Brambles Ltd.

 

31,069

 

392

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Computershare Ltd.

 

11,844

 

292

 

 

 

 

684

MATERIALS 0.3%

 

 

 

 

BHP Group Ltd.

 

5,130

 

124

Fortescue Ltd.

 

35,614

 

345

Northern Star Resources Ltd.

 

14,776

 

171

 

 

 

 

640

Total Australia

 

 

 

1,324

AUSTRIA 0.3%

 

 

 

 

ENERGY 0.1%

 

 

 

 

OMV AG

 

3,160

 

163

FINANCIALS 0.2%

 

 

 

 

Erste Group Bank AG

 

6,908

 

478

Total Austria

 

 

 

641

BELGIUM 0.1%

 

 

 

 

FINANCIALS 0.1%

 

 

 

 

Ageas SA

 

3,290

 

197

Total Belgium

 

 

 

197

BRAZIL 1.0%

 

 

 

 

CONSUMER STAPLES 0.1%

 

 

 

 

Ambev SA

 

106,200

 

251

ENERGY 0.3%

 

 

 

 

Petroleo Brasileiro SA

 

83,600

 

598

FINANCIALS 0.1%

 

 

 

 

Banco do Brasil SA

 

38,600

 

191

MATERIALS 0.5%

 

 

 

 

Vale SA

 

81,600

 

811

Total Brazil

 

 

 

1,851

CANADA 0.5%

 

 

 

 

ENERGY 0.5%

 

 

 

 

Enbridge, Inc.

 

4,605

 

204

Pembina Pipeline Corp.

 

1,838

 

74

South Bow Corp.

 

1,398

 

36

Suncor Energy, Inc.

 

13,118

 

508

TC Energy Corp.

 

4,201

 

198

 

 

 

 

1,020

Total Canada

 

 

 

1,020

CHILE 0.1%

 

 

 

 

FINANCIALS 0.1%

 

 

 

 

Banco de Chile

 

1,014,030

 

134

Total Chile

 

 

 

134

CHINA 1.6%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

NetEase, Inc.

 

43,400

 

892

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Alibaba Group Holding Ltd.

 

26,600

 

440

Haier Smart Home Co. Ltd. 'H'

 

51,000

 

164

 

 

 

 

604

ENERGY 0.4%

 

 

 

 

China Shenhua Energy Co. Ltd. 'H'

 

76,000

 

308

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

PetroChina Co. Ltd. 'H'

 

430,000

 

349

 

 

 

 

657

FINANCIALS 0.3%

 

 

 

 

China Construction Bank Corp. 'H'

 

482,000

 

427

China Pacific Insurance Group Co. Ltd. 'H' (c)

 

55,400

 

175

 

 

 

 

602

INDUSTRIALS 0.1%

 

 

 

 

ZTO Express Cayman, Inc. (g)

 

9,500

 

188

Total China

 

 

 

2,943

CZECH REPUBLIC 0.1%

 

 

 

 

UTILITIES 0.1%

 

 

 

 

CEZ AS

 

3,621

 

179

Total Czech Republic

 

 

 

179

DENMARK 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

AP Moller - Maersk AS 'B'

 

102

 

178

Total Denmark

 

 

 

178

FINLAND 0.4%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Wartsila Oyj Abp

 

6,584

 

118

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Nokia Oyj

 

119,496

 

629

Total Finland

 

 

 

747

FRANCE 0.5%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Cie Generale des Etablissements Michelin SCA

 

6,360

 

224

FINANCIALS 0.1%

 

 

 

 

AXA SA

 

4,626

 

198

INDUSTRIALS 0.1%

 

 

 

 

Bouygues SA

 

4,168

 

164

UTILITIES 0.2%

 

 

 

 

Engie SA

 

18,963

 

369

Total France

 

 

 

955

GERMANY 0.4%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

GEA Group AG

 

3,151

 

192

MATERIALS 0.3%

 

 

 

 

Heidelberg Materials AG

 

2,854

 

492

Total Germany

 

 

 

684

GREECE 0.2%

 

 

 

 

FINANCIALS 0.2%

 

 

 

 

Eurobank Ergasias Services & Holdings SA 'A'

 

54,154

 

146

National Bank of Greece SA

 

17,736

 

182

 

 

 

 

328

Total Greece

 

 

 

328

HONG KONG 0.7%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Geely Automobile Holdings Ltd.

 

127,000

 

273

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

CONSUMER STAPLES 0.1%

 

 

 

 

WH Group Ltd.

 

175,500

 

161

REAL ESTATE 0.3%

 

 

 

 

China Resources Land Ltd.

 

72,000

 

239

Sun Hung Kai Properties Ltd.

 

32,500

 

309

 

 

 

 

548

UTILITIES 0.2%

 

 

 

 

CLP Holdings Ltd.

 

37,000

 

301

Total Hong Kong

 

 

 

1,283

INDONESIA 0.5%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Telkom Indonesia Persero Tbk PT

 

1,111,900

 

161

FINANCIALS 0.3%

 

 

 

 

Bank Mandiri Persero Tbk PT

 

838,100

 

260

Bank Rakyat Indonesia Persero Tbk PT

 

1,418,900

 

343

 

 

 

 

603

INDUSTRIALS 0.1%

 

 

 

 

Astra International Tbk PT

 

431,400

 

128

Total Indonesia

 

 

 

892

IRELAND 0.9%

 

 

 

 

FINANCIALS 0.2%

 

 

 

 

AIB Group PLC

 

44,111

 

285

HEALTH CARE 0.7%

 

 

 

 

Medtronic PLC

 

15,094

 

1,356

Total Ireland

 

 

 

1,641

ISRAEL 0.5%

 

 

 

 

FINANCIALS 0.5%

 

 

 

 

Bank Hapoalim BM

 

25,992

 

353

Bank Leumi Le-Israel BM

 

32,705

 

440

Mizrahi Tefahot Bank Ltd.

 

3,482

 

157

 

 

 

 

950

Total Israel

 

 

 

950

ITALY 1.3%

 

 

 

 

FINANCIALS 0.7%

 

 

 

 

BPER Banca SpA

 

22,329

 

175

Intesa Sanpaolo SpA

 

190,188

 

980

Poste Italiane SpA

 

9,132

 

163

 

 

 

 

1,318

UTILITIES 0.6%

 

 

 

 

Enel SpA

 

134,184

 

1,088

Total Italy

 

 

 

2,406

JAPAN 2.3%

 

 

 

 

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Bridgestone Corp.

 

5,400

 

217

Subaru Corp.

 

13,200

 

236

 

 

 

 

453

CONSUMER STAPLES 0.4%

 

 

 

 

Japan Tobacco, Inc.

 

25,200

 

693

FINANCIALS 0.4%

 

 

 

 

MS&AD Insurance Group Holdings, Inc.

 

12,800

 

278

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Sompo Holdings, Inc.

 

18,700

 

570

 

 

 

 

848

HEALTH CARE 0.1%

 

 

 

 

Shionogi & Co. Ltd.

 

17,000

 

256

INDUSTRIALS 0.8%

 

 

 

 

Daikin Industries Ltd.

 

4,700

 

510

Mitsubishi Electric Corp.

 

18,900

 

349

Mitsui OSK Lines Ltd.

 

7,100

 

247

Nippon Yusen KK

 

9,200

 

304

 

 

 

 

1,410

INFORMATION TECHNOLOGY 0.2%

 

 

 

 

Canon, Inc.

 

9,700

 

302

REAL ESTATE 0.1%

 

 

 

 

Daito Trust Construction Co. Ltd.

 

1,300

 

133

UTILITIES 0.1%

 

 

 

 

Osaka Gas Co. Ltd.

 

7,500

 

170

Total Japan

 

 

 

4,265

LUXEMBOURG 0.2%

 

 

 

 

ENERGY 0.1%

 

 

 

 

Tenaris SA

 

9,271

 

182

FINANCIALS 0.1%

 

 

 

 

Intelsat Emergence SA «(g)

 

2,890

 

97

INDUSTRIALS 0.0%

 

 

 

 

Foresea Holdings SA «

 

2,200

 

55

Total Luxembourg

 

 

 

334

MALAYSIA 0.1%

 

 

 

 

UTILITIES 0.1%

 

 

 

 

Tenaga Nasional Bhd

 

65,300

 

197

Total Malaysia

 

 

 

197

MEXICO 0.2%

 

 

 

 

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Desarrolladora Homex SAB de CV (c)

 

41,996

 

0

MATERIALS 0.2%

 

 

 

 

Grupo Mexico SAB de CV 'B'

 

69,400

 

347

Total Mexico

 

 

 

347

NETHERLANDS 0.7%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Koninklijke KPN NV

 

87,261

 

370

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Stellantis NV

 

41,347

 

464

CONSUMER STAPLES 0.3%

 

 

 

 

Koninklijke Ahold Delhaize NV

 

12,674

 

473

Total Netherlands

 

 

 

1,307

NORWAY 0.5%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Telenor ASA

 

12,379

 

177

ENERGY 0.4%

 

 

 

 

Aker BP ASA

 

7,097

 

168

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Equinor ASA

 

18,816

 

497

 

 

 

 

665

Total Norway

 

 

 

842

POLAND 0.5%

 

 

 

 

ENERGY 0.1%

 

 

 

 

ORLEN SA

 

13,026

 

229

FINANCIALS 0.4%

 

 

 

 

Bank Polska Kasa Opieki SA

 

4,123

 

189

Powszechna Kasa Oszczednosci Bank Polski SA

 

18,083

 

353

Powszechny Zaklad Ubezpieczen SA

 

13,565

 

197

 

 

 

 

739

Total Poland

 

 

 

968

SINGAPORE 0.2%

 

 

 

 

FINANCIALS 0.1%

 

 

 

 

Singapore Exchange Ltd.

 

19,200

 

190

INDUSTRIALS 0.1%

 

 

 

 

Singapore Airlines Ltd.

 

31,300

 

158

Total Singapore

 

 

 

348

SOUTH AFRICA 0.8%

 

 

 

 

FINANCIALS 0.7%

 

 

 

 

Absa Group Ltd.

 

17,443

 

168

FirstRand Ltd.

 

104,326

 

410

Nedbank Group Ltd.

 

10,425

 

146

Sanlam Ltd.

 

40,466

 

183

Standard Bank Group Ltd.

 

28,102

 

367

 

 

 

 

1,274

MATERIALS 0.1%

 

 

 

 

Gold Fields Ltd.

 

9,491

 

210

Total South Africa

 

 

 

1,484

SOUTH KOREA 0.5%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Kia Corp.

 

5,036

 

318

CONSUMER STAPLES 0.1%

 

 

 

 

KT&G Corp.

 

2,016

 

139

FINANCIALS 0.2%

 

 

 

 

Meritz Financial Group, Inc.

 

1,986

 

166

Samsung Fire & Marine Insurance Co. Ltd.

 

627

 

153

 

 

 

 

319

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

Samsung Electronics Co. Ltd.

 

3,331

 

132

Total South Korea

 

 

 

908

SPAIN 1.9%

 

 

 

 

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Industria de Diseno Textil SA

 

10,177

 

507

ENERGY 0.2%

 

 

 

 

Repsol SA

 

24,774

 

329

FINANCIALS 1.2%

 

 

 

 

Banco Bilbao Vizcaya Argentaria SA

 

121,302

 

1,655

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Banco Santander SA

 

95,979

 

647

 

 

 

 

2,302

INDUSTRIALS 0.1%

 

 

 

 

ACS Actividades de Construccion y Servicios SA

 

3,716

 

212

UTILITIES 0.1%

 

 

 

 

Endesa SA

 

6,410

 

170

Total Spain

 

 

 

3,520

SWEDEN 0.5%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Evolution AB

 

3,567

 

266

INDUSTRIALS 0.1%

 

 

 

 

SKF AB 'B'

 

6,710

 

136

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Telefonaktiebolaget LM Ericsson 'B'

 

62,363

 

485

Total Sweden

 

 

 

887

SWITZERLAND 2.5%

 

 

 

 

CONSUMER STAPLES 0.1%

 

 

 

 

Nestle SA

 

1,235

 

125

FINANCIALS 0.6%

 

 

 

 

Swiss Re AG

 

4,819

 

820

Zurich Insurance Group AG

 

437

 

305

 

 

 

 

1,125

HEALTH CARE 1.5%

 

 

 

 

Novartis AG

 

13,455

 

1,494

Roche Holding AG

 

3,631

 

1,195

 

 

 

 

2,689

MATERIALS 0.3%

 

 

 

 

Holcim AG

 

5,891

 

634

Total Switzerland

 

 

 

4,573

TAIWAN 1.1%

 

 

 

 

INFORMATION TECHNOLOGY 1.1%

 

 

 

 

Lite-On Technology Corp.

 

44,000

 

122

MediaTek, Inc.

 

34,000

 

1,466

Novatek Microelectronics Corp.

 

13,000

 

216

Realtek Semiconductor Corp.

 

11,000

 

175

 

 

 

 

1,979

Total Taiwan

 

 

 

1,979

UNITED KINGDOM 3.6%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Kingfisher PLC

 

39,266

 

129

CONSUMER STAPLES 1.6%

 

 

 

 

Associated British Foods PLC

 

7,368

 

183

British American Tobacco PLC

 

41,964

 

1,721

Imperial Brands PLC

 

17,815

 

659

Tesco PLC

 

81,829

 

352

 

 

 

 

2,915

FINANCIALS 0.5%

 

 

 

 

3i Group PLC

 

20,478

 

963

INDUSTRIALS 0.7%

 

 

 

 

BAE Systems PLC

 

63,580

 

1,284

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

MATERIALS 0.6%

 

 

 

 

Rio Tinto PLC

 

18,797

 

1,128

UTILITIES 0.1%

 

 

 

 

Centrica PLC

 

97,361

 

189

Total United Kingdom

 

 

 

6,608

UNITED STATES 21.5%

 

 

 

 

COMMUNICATION SERVICES 2.3%

 

 

 

 

Clear Channel Outdoor Holdings, Inc. (c)

 

29,821

 

33

Comcast Corp. 'A'

 

16,825

 

621

Electronic Arts, Inc.

 

5,279

 

763

iHeartMedia, Inc. 'A' (c)

 

6,979

 

11

iHeartMedia, Inc. 'B' «(c)

 

5,486

 

8

Verizon Communications, Inc.

 

64,154

 

2,910

Windstream Services LLC «(c)

 

40

 

1

 

 

 

 

4,347

CONSUMER DISCRETIONARY 1.5%

 

 

 

 

Best Buy Co., Inc.

 

2,461

 

181

Booking Holdings, Inc.

 

32

 

147

eBay, Inc.

 

9,821

 

665

Expedia Group, Inc.

 

2,757

 

464

Home Depot, Inc.

 

3,381

 

1,239

 

 

 

 

2,696

CONSUMER STAPLES 4.5%

 

 

 

 

Altria Group, Inc.

 

37,899

 

2,275

Bunge Global SA

 

2,397

 

183

Colgate-Palmolive Co.

 

6,837

 

641

Kimberly-Clark Corp.

 

7,486

 

1,065

Philip Morris International, Inc.

 

18,721

 

2,972

Procter & Gamble Co.

 

929

 

158

Target Corp.

 

10,286

 

1,073

 

 

 

 

8,367

ENERGY 1.6%

 

 

 

 

Antero Midstream Corp.

 

2,623

 

47

Cheniere Energy, Inc.

 

414

 

96

Devon Energy Corp.

 

13,153

 

492

DTE Midstream, Inc.

 

1,411

 

136

EOG Resources, Inc.

 

7,735

 

992

Hess Midstream LP 'A'

 

2,170

 

92

Kinder Morgan, Inc.

 

8,973

 

256

Kinetik Holdings, Inc.

 

341

 

18

ONEOK, Inc.

 

2,063

 

204

Ovintiv, Inc.

 

5,450

 

233

Targa Resources Corp.

 

667

 

134

Williams Cos., Inc.

 

3,619

 

216

 

 

 

 

2,916

FINANCIALS 2.2%

 

 

 

 

Bank of New York Mellon Corp.

 

2,217

 

186

Blackrock, Inc.

 

450

 

426

CME Group, Inc.

 

2,199

 

583

Hartford Insurance Group, Inc.

 

2,360

 

292

Northern Trust Corp.

 

4,450

 

439

Raymond James Financial, Inc.

 

2,618

 

364

SEI Investments Co.

 

2,317

 

180

State Street Corp.

 

6,581

 

589

Synchrony Financial

 

8,740

 

463

T. Rowe Price Group, Inc.

 

4,987

 

458

 

 

 

 

3,980

HEALTH CARE 3.8%

 

 

 

 

AbbVie, Inc.

 

8,996

 

1,885

Amsurg Equity «(c)(g)

 

4,188

 

196

Johnson & Johnson

 

18,476

 

3,064

Merck & Co., Inc.

 

10,531

 

945

Pfizer, Inc.

 

37,434

 

949

 

 

 

 

7,039

INDUSTRIALS 1.8%

 

 

 

 

Cummins, Inc.

 

2,068

 

648

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

EMCOR Group, Inc.

 

981

 

363

Lockheed Martin Corp.

 

4,512

 

2,015

Snap-on, Inc.

 

1,097

 

370

Westmoreland Mining Holdings «(c)(g)

 

52

 

0

Westmoreland Mining LLC «(c)(g)

 

165

 

1

 

 

 

 

3,397

INFORMATION TECHNOLOGY 3.1%

 

 

 

 

Apple, Inc.

 

5,069

 

1,126

Cisco Systems, Inc.

 

37,089

 

2,289

Microsoft Corp.

 

1,226

 

460

NetApp, Inc.

 

1,745

 

153

NVIDIA Corp.

 

5,294

 

574

QUALCOMM, Inc.

 

5,736

 

881

Skyworks Solutions, Inc.

 

3,359

 

217

 

 

 

 

5,700

MATERIALS 0.2%

 

 

 

 

CF Industries Holdings, Inc.

 

3,906

 

305

UTILITIES 0.5%

 

 

 

 

DTE Energy Co.

 

2,459

 

340

Edison International

 

8,691

 

512

 

 

 

 

852

Total United States

 

 

 

39,599

Total Common Stocks (Cost $74,984)

 

 

 

86,519

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

CORPORATE BONDS & NOTES 5.8%

 

 

 

 

BERMUDA 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Essent Group Ltd.
6.250% due 07/01/2029

$

200

 

206

Total Bermuda

 

 

 

206

FRANCE 0.5%

 

 

 

 

BANKING & FINANCE 0.4%

 

 

 

 

BPCE SA
6.714% due 10/19/2029 •

 

250

 

263

Societe Generale SA
6.691% due 01/10/2034 •

 

400

 

421

 

 

 

 

684

INDUSTRIALS 0.1%

 

 

 

 

Altice France SA
8.125% due 02/01/2027

 

200

 

179

Total France

 

 

 

863

GERMANY 0.1%

 

 

 

 

BANKING & FINANCE 0.1%

 

 

 

 

Deutsche Bank AG
3.547% due 09/18/2031 •

 

200

 

184

Total Germany

 

 

 

184

IRELAND 0.2%

 

 

 

 

INDUSTRIALS 0.2%

 

 

 

 

Russian Railways Via RZD Capital PLC
7.487% due 03/25/2031 ^(b)

GBP

300

 

272

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total Ireland

 

 

 

272

ITALY 0.1%

 

 

 

 

BANKING & FINANCE 0.1%

 

 

 

 

Intesa Sanpaolo SpA
7.200% due 11/28/2033

$

200

 

222

Total Italy

 

 

 

222

JAPAN 0.5%

 

 

 

 

INDUSTRIALS 0.5%

 

 

 

 

Nissan Motor Co. Ltd.
4.810% due 09/17/2030

 

868

 

825

Total Japan

 

 

 

825

LUXEMBOURG 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Intelsat Jackson Holdings SA
6.500% due 03/15/2030

 

208

 

198

UTILITIES 0.0%

 

 

 

 

FORESEA Holding SA
7.500% due 06/15/2030

 

27

 

27

Total Luxembourg

 

 

 

225

SPAIN 0.2%

 

 

 

 

BANKING & FINANCE 0.2%

 

 

 

 

Banco Santander SA
6.607% due 11/07/2028

 

400

 

425

Total Spain

 

 

 

425

SWITZERLAND 0.7%

 

 

 

 

BANKING & FINANCE 0.7%

 

 

 

 

UBS Group AG

 

 

 

 

5.959% due 01/12/2034 •

 

637

 

663

3.091% due 05/14/2032 •

 

673

 

599

 

 

 

 

1,262

Total Switzerland

 

 

 

1,262

UNITED KINGDOM 0.8%

 

 

 

 

BANKING & FINANCE 0.5%

 

 

 

 

Barclays PLC
7.437% due 11/02/2033 •

 

700

 

782

Nationwide Building Society
6.557% due 10/18/2027 •

 

200

 

205

 

 

 

 

987

INDUSTRIALS 0.3%

 

 

 

 

Marston's Issuer PLC
7.229% due 07/16/2035 ~

GBP

200

 

224

Mitchells & Butlers Finance PLC
5.049% due 12/15/2030 ~

 

55

 

69

Thames Water Utilities Finance PLC

 

 

 

 

2.375% due 04/22/2040

 

100

 

94

0.875% due 01/31/2028

EUR

100

 

79

Thames Water Utilities Ltd.
0.000% due 03/22/2027 (d)

GBP

1

 

2

 

 

 

 

468

Total United Kingdom

 

 

 

1,455

UNITED STATES 2.5%

 

 

 

 

BANKING & FINANCE 0.5%

 

 

 

 

Credit Suisse AG AT1 Claim

$

365

 

44

EPR Properties

 

 

 

 

4.950% due 04/15/2028

 

2

 

2

4.750% due 12/15/2026

 

2

 

2

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Ford Motor Credit Co. LLC
4.271% due 01/09/2027

 

460

 

451

GLP Capital LP
5.300% due 01/15/2029

 

19

 

19

JPMorgan Chase & Co.
6.087% due 10/23/2029 •

 

190

 

199

VICI Properties LP
4.625% due 06/15/2025

 

237

 

237

 

 

 

 

954

INDUSTRIALS 1.3%

 

 

 

 

American Airlines Pass-Through Trust
3.350% due 04/15/2031

 

6

 

6

Boeing Co.

 

 

 

 

2.750% due 02/01/2026

 

60

 

59

2.196% due 02/04/2026

 

10

 

10

6.259% due 05/01/2027

 

400

 

412

6.298% due 05/01/2029

 

10

 

11

CVS Pass-Through Trust
8.353% due 07/10/2031

 

306

 

334

DISH DBS Corp.

 

 

 

 

5.250% due 12/01/2026

 

490

 

451

5.750% due 12/01/2028

 

200

 

169

Energy Transfer LP
4.950% due 05/15/2028

 

4

 

4

Exela Intermediate LLC (11.500% Cash)
11.500% due 04/15/2026 (a)

 

11

 

2

Hyundai Capital America
4.300% due 09/24/2027

 

400

 

395

Topaz Solar Farms LLC

 

 

 

 

5.750% due 09/30/2039

 

58

 

56

4.875% due 09/30/2039

 

8

 

7

U.S. Renal Care, Inc.
10.625% due 06/28/2028

 

2

 

2

Venture Global Calcasieu Pass LLC
3.875% due 08/15/2029

 

230

 

213

Venture Global LNG, Inc.

 

 

 

 

9.875% due 02/01/2032

 

150

 

159

7.000% due 01/15/2030

 

140

 

138

 

 

 

 

2,428

UTILITIES 0.7%

 

 

 

 

Pacific Gas & Electric Co.

 

 

 

 

3.300% due 03/15/2027

 

20

 

19

3.750% due 07/01/2028

 

110

 

106

3.250% due 06/01/2031

 

559

 

498

4.200% due 03/01/2029

 

200

 

193

2.500% due 02/01/2031

 

500

 

430

 

 

 

 

1,246

Total United States

 

 

 

4,628

VENEZUELA 0.0%

 

 

 

 

INDUSTRIALS 0.0%

 

 

 

 

Petroleos de Venezuela SA

 

 

 

 

6.000% due 11/15/2026 ^(b)

 

300

 

42

9.750% due 05/17/2035 ^(b)

 

20

 

3

 

 

 

 

45

Total Venezuela

 

 

 

45

Total Corporate Bonds & Notes (Cost $10,822)

 

 

 

10,612

NON-AGENCY MORTGAGE-BACKED SECURITIES 11.6%

 

 

 

 

IRELAND 0.9%

 

 

 

 

Kinbane DAC
3.224% due 09/25/2062 •

EUR

424

 

459

Ludgate Funding PLC
3.521% due 05/26/2066 •

 

382

 

414

Merrion Square Residential
3.473% due 03/24/2081 •

 

704

 

755

Total Ireland

 

 

 

1,628

UNITED KINGDOM 1.8%

 

 

 

 

Avon Finance PLC
5.357% due 12/28/2049 •

GBP

518

 

671

Bridgegate Funding PLC
6.806% (SONIO/N + 2.250%) due 10/16/2062 ~

 

1,330

 

1,738

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Eurosail PLC

 

 

 

 

5.280% due 09/13/2045 •

 

179

 

229

5.530% due 06/13/2045 •

 

123

 

158

5.530% due 06/13/2045 ~

 

55

 

70

Grifonas Finance PLC
2.669% due 08/28/2039 •

EUR

109

 

115

Towd Point Mortgage Funding
5.482% due 07/20/2053 •

GBP

247

 

321

Total United Kingdom

 

 

 

3,302

UNITED STATES 8.9%

 

 

 

 

AG Trust
6.335% due 07/15/2041 •

$

190

 

190

Banc of America Alternative Loan Trust
6.000% due 07/25/2046

 

34

 

29

Banc of America Funding Trust
4.845% due 05/20/2036 ~

 

4

 

4

Banc of America Mortgage Trust

 

 

 

 

3.649% due 11/20/2046 ~

 

2

 

2

6.000% due 10/25/2036

 

6

 

5

Barclays Commercial Real Estate Trust
3.966% due 08/10/2033

 

400

 

372

Chase Home Lending Mortgage Trust

 

 

 

 

3.250% due 09/25/2064 •

 

857

 

762

3.500% due 06/25/2062 ~

 

1,448

 

1,343

Chase Mortgage Finance Trust
4.738% due 09/25/2036 ~

 

14

 

13

CIM Trust

 

 

 

 

4.750% due 06/25/2064 •

 

362

 

356

5.000% due 05/25/2062 ~

 

1,237

 

1,234

Commercial Mortgage Trust
3.140% due 10/10/2036

 

400

 

351

Countrywide Alternative Loan Trust

 

 

 

 

6.000% due 06/25/2036

 

74

 

39

6.000% due 02/25/2037

 

49

 

18

6.250% due 12/25/2036 ~

 

20

 

8

Countrywide Home Loan Mortgage Pass-Through Trust
4.935% due 07/25/2037 •

 

14

 

5

Credit Suisse First Boston Mortgage Securities Corp.
6.000% due 01/25/2036

 

28

 

17

Credit Suisse First Boston Mortgage-Backed Pass-Through Certificates
6.000% due 11/25/2035

 

308

 

71

Credit Suisse Mortgage Capital Mortgage-Backed Trust

 

 

 

 

3.904% due 04/25/2062 ~

 

1,294

 

1,233

4.394% due 12/29/2037 •

 

104

 

54

DBGS Mortgage Trust
7.084% due 10/15/2036 •

 

900

 

814

First Horizon Alternative Mortgage Securities Trust
5.292% due 06/25/2036 •

 

92

 

74

GS Mortgage-Backed Securities Trust
3.900% due 09/25/2061 þ

 

849

 

821

HSI Asset Loan Obligation Trust
6.000% due 06/25/2037

 

2

 

1

JP Morgan Alternative Loan Trust
5.843% due 05/26/2037 •

 

33

 

26

JP Morgan Chase Commercial Mortgage Securities Trust

 

 

 

 

4.916% due 04/15/2037 •

 

391

 

383

7.099% due 11/15/2038 •

 

967

 

962

7.235% due 10/05/2040

 

400

 

423

JP Morgan Mortgage Trust
6.500% due 07/25/2036

 

75

 

24

Merrill Lynch Mortgage Investors Trust
4.456% due 03/25/2036 ~

 

7

 

4

MFA Trust

 

 

 

 

4.250% due 02/25/2066 ~

 

378

 

360

4.400% due 03/25/2068 þ

 

1,248

 

1,229

PRET LLC
5.925% due 10/25/2054 þ

 

382

 

382

PRPM Trust
6.327% due 06/25/2069 þ

 

349

 

355

RCKT Mortgage Trust

 

 

 

 

5.158% due 10/25/2044 þ

 

787

 

784

5.846% due 08/25/2044 þ

 

356

 

357

Residential Accredit Loans, Inc. Trust

 

 

 

 

5.235% due 10/25/2045 ~

 

41

 

29

5.500% due 03/25/2037

 

177

 

144

6.250% due 03/25/2037

 

16

 

13

Structured Adjustable Rate Mortgage Loan Trust
4.603% due 10/25/2036 ~

 

1,072

 

526

Towd Point Mortgage Trust

 

 

 

 

4.492% due 10/25/2064 •

 

376

 

378

5.109% due 07/25/2065 •

 

691

 

697

Verus Securitization Trust
5.799% due 07/25/2069 þ

 

700

 

703

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Wells Fargo Alternative Loan Trust
7.125% due 07/25/2037 ~

 

350

 

324

WSTN Trust
6.297% due 07/05/2037 •

 

500

 

509

Total United States

 

 

 

16,428

Total Non-Agency Mortgage-Backed Securities (Cost $21,553)

 

 

 

21,358

 

 

SHARES

 

 

MASTER LIMITED PARTNERSHIPS 0.1%

 

 

 

 

UNITED STATES 0.1%

 

 

 

 

ENERGY 0.1%

 

 

 

 

Plains GP Holdings LP

 

6,846

 

146

Total Master Limited Partnerships (Cost $145)

 

 

 

146

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

MUNICIPAL BONDS & NOTES 0.0%

 

 

 

 

ILLINOIS 0.0%

 

 

 

 

Illinois State General Obligation Bonds, (BABs), Series 2010

 

 

 

 

6.630% due 02/01/2035

$

12

 

12

7.350% due 07/01/2035

 

4

 

4

Total Illinois

 

 

 

16

PUERTO RICO 0.0%

 

 

 

 

Puerto Rico Electric Power Authority Revenue Bonds, (BABs), Series 2010
6.125% due 07/01/2040 ^(b)

 

100

 

49

Total Puerto Rico

 

 

 

49

Total Municipal Bonds & Notes (Cost $46)

 

 

 

65

 

 

SHARES

 

 

PREFERRED STOCKS 0.4%

 

 

 

 

BRAZIL 0.4%

 

 

 

 

UTILITIES 0.4%

 

 

 

 

Petroleo Brasileiro SA

 

100,700

 

656

Total Brazil

 

 

 

656

SOUTH KOREA 0.0%

 

 

 

 

INDUSTRIALS 0.0%

 

 

 

 

Samsung Electronics Co. Ltd.

 

2,728

 

88

Total South Korea

 

 

 

88

UNITED KINGDOM 0.0%

 

 

 

 

BANKING & FINANCE 0.0%

 

 

 

 

Nationwide Building Society ~

 

380

 

64

Total United Kingdom

 

 

 

64

Total Preferred Stocks (Cost $726)

 

 

 

808

REAL ESTATE INVESTMENT TRUSTS 4.8%

 

 

 

 

FRANCE 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Klepierre SA

 

4,827

 

162

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total France

 

 

 

162

HONG KONG 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Link REIT

 

58,400

 

274

Total Hong Kong

 

 

 

274

JAPAN 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Nippon Building Fund, Inc.

 

172

 

146

Total Japan

 

 

 

146

UNITED STATES 4.5%

 

 

 

 

REAL ESTATE 4.5%

 

 

 

 

Alexandria Real Estate Equities, Inc.

 

1,832

 

169

American Homes 4 Rent 'A'

 

2,580

 

98

Americold Realty Trust, Inc.

 

17,058

 

366

Apple Hospitality REIT, Inc.

 

26,777

 

346

Broadstone Net Lease, Inc.

 

25,637

 

437

Crown Castle, Inc.

 

1,780

 

186

CubeSmart

 

4,367

 

186

Digital Realty Trust, Inc.

 

2,461

 

353

EPR Properties

 

6,977

 

367

Equity Residential

 

1,043

 

75

Essential Properties Realty Trust, Inc.

 

2,883

 

94

Federal Realty Investment Trust

 

3,740

 

366

Gaming & Leisure Properties, Inc.

 

8,735

 

445

Healthpeak Properties, Inc.

 

17,675

 

357

Host Hotels & Resorts, Inc.

 

24,152

 

343

Invitation Homes, Inc.

 

5,401

 

188

Kimco Realty Corp.

 

17,683

 

376

Kite Realty Group Trust

 

16,653

 

373

LXP Industrial Trust

 

19,911

 

172

National Storage Affiliates Trust

 

4,912

 

194

NNN REIT, Inc.

 

3,412

 

145

Omega Healthcare Investors, Inc.

 

9,613

 

366

Park Hotels & Resorts, Inc.

 

16,076

 

172

Realty Income Corp.

 

3,178

 

184

RLJ Lodging Trust

 

20,695

 

163

Simon Property Group, Inc.

 

4,030

 

669

Uniti Group, Inc.

 

28

 

0

VICI Properties, Inc.

 

24,124

 

786

WP Carey, Inc.

 

4,509

 

285

 

 

 

 

8,261

Total United States

 

 

 

8,261

Total Real Estate Investment Trusts (Cost $8,125)

 

 

 

8,843

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

SOVEREIGN ISSUES 4.2%

 

 

 

 

ARGENTINA 0.4%

 

 

 

 

Argentina Government International Bond

 

 

 

 

0.750% due 07/09/2030 þ

$

263

 

182

1.000% due 07/09/2029

 

28

 

22

3.500% due 07/09/2041 þ

 

196

 

114

4.125% due 07/09/2035 þ

 

373

 

231

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

5.000% due 01/09/2038 þ

 

269

 

177

Total Argentina

 

 

 

726

BRAZIL 0.6%

 

 

 

 

Brazil Letras do Tesouro Nacional
0.000% due 07/01/2025 (d)

BRL

6,400

 

1,086

Total Brazil

 

 

 

1,086

EGYPT 0.1%

 

 

 

 

Egypt Government International Bond
21.954% due 03/04/2028

EGP

11,400

 

231

Total Egypt

 

 

 

231

ISRAEL 0.4%

 

 

 

 

Israel Government International Bond

 

 

 

 

1.750% due 08/31/2025

ILS

1,000

 

266

5.375% due 02/19/2030

$

200

 

202

5.625% due 02/19/2035

 

200

 

199

Total Israel

 

 

 

667

MEXICO 0.8%

 

 

 

 

Mexico Government International Bond

 

 

 

 

2.750% due 11/27/2031 (e)

MXN

6,906

 

295

3.000% due 12/03/2026 (e)

 

8,759

 

412

4.000% due 11/30/2028 (e)

 

505

 

24

4.000% due 08/24/2034 (e)

 

2,021

 

92

7.000% due 09/03/2026

 

3,000

 

144

7.500% due 06/03/2027

 

2,300

 

110

7.500% due 05/26/2033

 

400

 

18

7.750% due 05/29/2031

 

2,200

 

101

7.750% due 11/23/2034

 

3,880

 

170

8.500% due 03/01/2029

 

2,500

 

121

8.500% due 05/31/2029

 

1,700

 

82

Total Mexico

 

 

 

1,569

PERU 0.7%

 

 

 

 

Peru Government International Bond

 

 

 

 

5.400% due 08/12/2034

PEN

100

 

25

6.150% due 08/12/2032

 

1,424

 

389

6.900% due 08/12/2037

 

153

 

41

6.950% due 08/12/2031

 

1,602

 

466

7.300% due 08/12/2033

 

700

 

201

7.600% due 08/12/2039

 

300

 

85

Total Peru

 

 

 

1,207

ROMANIA 0.4%

 

 

 

 

Romania Government International Bond

 

 

 

 

5.125% due 09/24/2031

EUR

200

 

209

5.250% due 03/10/2030

 

200

 

218

5.625% due 05/30/2037

 

100

 

99

6.250% due 09/10/2034

 

200

 

215

Total Romania

 

 

 

741

SAUDI ARABIA 0.2%

 

 

 

 

Saudi Government International Bond

 

 

 

 

3.750% due 03/05/2037

 

100

 

104

5.125% due 01/13/2028

$

200

 

203

Total Saudi Arabia

 

 

 

307

SOUTH AFRICA 0.4%

 

 

 

 

Republic of South Africa Government International Bond

 

 

 

 

7.000% due 02/28/2031

ZAR

3,200

 

155

8.000% due 01/31/2030

 

300

 

16

8.500% due 01/31/2037

 

900

 

41

8.875% due 02/28/2035

 

6,100

 

298

9.000% due 01/31/2040

 

200

 

9

10.500% due 12/21/2026

 

4,100

 

231

Total South Africa

 

 

 

750

TURKEY 0.2%

 

 

 

 

Turkey Government International Bond

 

 

 

 

5.250% due 03/13/2030

$

200

 

186

44.165% due 09/06/2028 ~

TRY

300

 

7

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

45.031% due 05/17/2028 ~

 

6,400

 

160

Total Turkey

 

 

 

353

VENEZUELA 0.0%

 

 

 

 

Venezuela Government International Bond

 

 

 

 

7.000% due 03/31/2038 ^(b)

$

2

 

0

7.650% due 04/21/2025 ^(b)

 

3

 

1

9.250% due 09/15/2027 ^(b)

 

44

 

9

Total Venezuela

 

 

 

10

Total Sovereign Issues (Cost $7,804)

 

 

 

7,647

U.S. GOVERNMENT AGENCIES 29.9%

 

 

 

 

UNITED STATES 29.9%

 

 

 

 

Ginnie Mae, TBA

 

 

 

 

3.000% due 05/01/2055

 

200

 

177

3.500% due 04/01/2055

 

100

 

92

4.000% due 05/01/2055

 

300

 

281

4.500% due 05/01/2055

 

1,800

 

1,727

5.000% due 04/01/2055

 

300

 

295

5.500% due 05/01/2055

 

100

 

100

Uniform Mortgage-Backed Security

 

 

 

 

3.000% due 11/01/2029 - 05/01/2052

 

308

 

267

3.500% due 02/01/2050

 

25

 

23

4.000% due 08/01/2042 - 10/01/2042

 

85

 

81

Uniform Mortgage-Backed Security, TBA

 

 

 

 

3.000% due 05/01/2055

 

2,900

 

2,513

3.500% due 05/01/2055

 

1,300

 

1,172

4.000% due 05/01/2055

 

7,400

 

6,885

4.500% due 05/01/2055

 

3,200

 

3,060

5.000% due 04/01/2055

 

8,800

 

8,626

5.500% due 05/01/2055

 

4,800

 

4,790

6.000% due 06/01/2055

 

11,500

 

11,658

6.500% due 06/01/2055

 

11,900

 

12,251

7.000% due 05/01/2055

 

1,100

 

1,150

Total U.S. Government Agencies (Cost $54,923)

 

 

 

55,148

U.S. TREASURY OBLIGATIONS 10.7%

 

 

 

 

UNITED STATES 10.7%

 

 

 

 

U.S. Treasury Bonds

 

 

 

 

2.875% due 11/15/2046

 

600

 

454

3.000% due 02/15/2049 (h)

 

1,133

 

857

4.250% due 08/15/2054

 

100

 

94

4.375% due 08/15/2043

 

300

 

292

4.500% due 11/15/2054 (h)

 

1,000

 

986

4.625% due 05/15/2054 (h)

 

800

 

803

U.S. Treasury Inflation Protected Securities (e)

 

 

 

 

0.125% due 07/15/2030

 

347

 

325

0.125% due 07/15/2031

 

2,524

 

2,318

0.125% due 02/15/2051

 

366

 

211

0.250% due 07/15/2029 (j)

 

891

 

854

0.375% due 07/15/2025

 

63

 

63

0.375% due 01/15/2027

 

42

 

42

0.375% due 07/15/2027

 

13

 

13

0.625% due 07/15/2032

 

656

 

612

0.750% due 07/15/2028

 

266

 

263

0.875% due 01/15/2029

 

436

 

430

1.000% due 02/15/2048

 

129

 

99

1.000% due 02/15/2049

 

126

 

96

1.375% due 07/15/2033

 

1,882

 

1,837

1.750% due 01/15/2034

 

103

 

103

1.875% due 07/15/2034 (h)

 

1,012

 

1,022

U.S. Treasury Notes

 

 

 

 

0.500% due 10/31/2027

 

100

 

92

0.625% due 11/30/2027

 

550

 

505

0.625% due 12/31/2027

 

220

 

201

0.750% due 01/31/2028

 

110

 

101

2.375% due 03/31/2029 (h)

 

2,800

 

2,641

4.000% due 10/31/2029 (j)

 

800

 

802

4.500% due 03/31/2026 (h)

 

1,800

 

1,808

4.500% due 04/15/2027 (h)

 

1,800

 

1,821

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total U.S. Treasury Obligations (Cost $21,006)

 

 

 

19,745

 

 

SHARES

 

 

WARRANTS 0.0%

 

 

 

 

LUXEMBOURG 0.0%

 

 

 

 

FINANCIALS 0.0%

 

 

 

 

Intelsat Emergence SA - Exp. 02/17/2027 «

 

132

 

0

Total Luxembourg

 

 

 

0

UNITED STATES 0.0%

 

 

 

 

Total United States

 

 

 

0

Total Warrants (Cost $53)

 

 

 

0

SHORT-TERM INSTRUMENTS 0.3%

 

 

 

 

MUTUAL FUNDS 0.3%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund

4.400% (f)

 

523,151

 

523

Total Short-Term Instruments (Cost $523)

 

 

 

523

Total Investments in Securities (Cost $232,860)

 

 

 

242,908

INVESTMENTS IN AFFILIATES 0.6%

 

 

 

 

SHORT-TERM INSTRUMENTS 0.6%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 0.6%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

106,559

 

1,037

Total Short-Term Instruments (Cost $1,037)

 

 

 

1,037

Total Investments in Affiliates (Cost $1,037)

 

 

 

1,037

Total Investments 132.5% (Cost $233,897)

 

 

$

243,945

Financial Derivative Instruments (i)(k) (0.1)%(Cost or Premiums, net $(42))

 

 

 

(245)

Other Assets and Liabilities, net (32.4)%

 

 

 

(59,576)

Net Assets 100.0%

 

 

$

184,124

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

^

Security is in default.

«

Security valued using significant unobservable inputs (Level 3).

~

Variable or Floating rate security. Rate shown is the rate in effect as of period end. Certain variable rate securities are not based on a published reference rate and spread, rather are determined by the issuer or agent and are based on current market conditions. Reference rate is as of reset date, which may vary by security. These securities may not indicate a reference rate and/or spread in their description.

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

þ

Coupon represents a rate which changes periodically based on a predetermined schedule or event. Rate shown is the rate in effect as of period end.

(a)

Payment in-kind security.

(b)

Security is not accruing income as of the date of this report.

(c)

Security did not produce income within the last twelve months.

(d)

Zero coupon security.

(e)

Principal amount of security is adjusted for inflation.

(f)

Coupon represents a 7-Day Yield.

(g)

RESTRICTED SECURITIES:

Issuer Description

 

 

Acquisition
Date

 

Cost

 

Market
Value

Market Value
as Percentage
of Net Assets

Amsurg Equity

 

 

11/02/2023 - 11/06/2023

$

175

$

196

0.11

%

Intelsat Emergence SA

 

 

06/19/2017 - 07/03/2023

 

208

 

97

0.05

 

Westmoreland Mining Holdings

 

 

03/26/2019

 

0

 

0

0.00

 

Westmoreland Mining LLC

 

 

06/30/2023 - 02/03/2025

 

1

 

1

0.00

 

ZTO Express Cayman, Inc.

 

 

12/10/2024-03/14/2025

 

182

 

188

0.10

 

 

 

 

 

$

566

$

482

0.26%  

BORROWINGS AND OTHER FINANCING TRANSACTIONS

REVERSE REPURCHASE AGREEMENTS:

Counterparty

Borrowing Rate(1)

Settlement Date

Maturity Date

 

Amount
Borrowed
(1)

 

Payable for
Reverse
Repurchase
Agreements

DEU

4.420%

03/13/2025

04/10/2025

$

(992)

$

(995)

 

4.490

03/27/2025

04/03/2025

 

(1,328)

 

(1,329)

JPS

4.430

03/13/2025

04/10/2025

 

(1,776)

 

(1,780)

 

4.440

03/20/2025

04/03/2025

 

(3,175)

 

(3,180)

 

4.450

03/10/2025

04/07/2025

 

(816)

 

(818)

 

4.490

03/27/2025

04/03/2025

 

(1,010)

 

(1,010)

Total Reverse Repurchase Agreements

 

 

 

 

 

$

(9,112)

(h)

Securities with an aggregate market value of $9,027 have been pledged as collateral under the terms of master agreements as of March 31, 2025.

(1)

The average amount of borrowings outstanding during the period ended March 31, 2025 was $(8,419) at a weighted average interest rate of 4.762%. Average borrowings may include reverse repurchase agreements, if held during the period.

(i)

FINANCIAL DERIVATIVE INSTRUMENTS: EXCHANGE-TRADED OR CENTRALLY CLEARED

WRITTEN OPTIONS:

OPTIONS ON EXCHANGE-TRADED FUTURES CONTRACTS

Description

 

Strike
Price

Expiration
Date

# of
Contracts

 

Notional Amount

 

Premiums
(Received)

 

Market
Value

Put - CBOE U.S. Treasury 10-Year Note May Futures

$

109.000

04/25/2025

1

$

1

$

0

$

0

Put - CBOE U.S. Treasury 10-Year Note May Futures

 

109.500

04/25/2025

1

 

1

 

0

 

0

Put - CBOE U.S. Treasury 10-Year Note May Futures

 

110.000

04/25/2025

2

 

2

 

(1)

 

0

Call - CBOE U.S. Treasury 10-Year Note May Futures

 

112.000

04/25/2025

1

 

1

 

0

 

(1)

Call - CBOE U.S. Treasury 10-Year Note May Futures

 

112.250

04/25/2025

1

 

1

 

0

 

0

Call - CBOE U.S. Treasury 10-Year Note May Futures

 

112.500

04/25/2025

2

 

2

 

(1)

 

(1)

Total Written Options

$

(2)

$

(2)

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

FUTURES CONTRACTS:

LONG FUTURES CONTRACTS

 

Variation Margin

Description

 

 

 

Expiration
Month

 

# of
Contracts

 

Notional
Amount

 

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

Long Gilt June Futures

06/2025

 

55

$

6,514

 

$

(58)

$

70

$

0

U.S. Treasury 2-Year Note June Futures

06/2025

 

1

 

207

 

 

1

 

0

 

0

U.S. Treasury 5-Year Note June Futures

06/2025

 

39

 

4,218

 

 

67

 

0

 

(1)

U.S. Treasury 10-Year Note June Futures

06/2025

 

88

 

9,787

 

 

182

 

1

 

0

U.S. Treasury Ultra Long-Term Bond June Futures

06/2025

 

1

 

122

 

 

3

 

1

 

0

 

 

 

 

 

 

 

 

$

195

$

72

$

(1)

SHORT FUTURES CONTRACTS

 

Variation Margin

Description

 

 

 

Expiration
Month

 

# of
Contracts

 

Notional
Amount

 

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

3-Month SOFR Active Contract December Futures

03/2026

 

1

$

(241)

 

$

4

$

0

$

0

3-Month SOFR Active Contract June Futures

09/2025

 

10

 

(2,398)

 

 

21

 

1

 

0

3-Month SOFR Active Contract March Futures

06/2025

 

8

 

(1,914)

 

 

15

 

0

 

0

3-Month SOFR Active Contract March Futures

06/2026

 

1

 

(241)

 

 

3

 

0

 

0

3-Month SOFR Active Contract September Futures

12/2025

 

1

 

(240)

 

 

4

 

0

 

0

Australia Government 10-Year Bond June Futures

06/2025

 

18

 

(1,267)

 

 

(1)

 

0

 

(12)

Euro-BOBL June Futures

06/2025

 

7

 

(892)

 

 

8

 

0

 

(2)

Euro-Bund June Futures

06/2025

 

12

 

(1,672)

 

 

35

 

0

 

(7)

U.S. Treasury 10-Year Ultra Long-Term Bond June Futures

06/2025

 

14

 

(1,598)

 

 

(19)

 

0

 

(1)

U.S. Treasury Long-Term Bond June Futures

06/2025

 

17

 

(1,994)

 

 

(31)

 

0

 

(3)

 

 

 

 

 

 

 

 

$

39

$

1

$

(25)

Total Futures Contracts

 

$

234

$

73

$

(26)

SWAP AGREEMENTS:

CREDIT DEFAULT SWAPS ON CORPORATE ISSUES - BUY PROTECTION(1)

 

Variation Margin

Reference Entity

Fixed
(Pay) Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at
March 31, 2025
(3)

 

Notional
Amount
(4)

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value
(5)

 

Asset

 

Liability

Ford Motor Co.

(5.000)%

Quarterly

06/20/2026

0.589

%

$

100

$

(5)

$

(1)

$

(6)

$

0

$

0

CREDIT DEFAULT SWAPS ON CORPORATE ISSUES - SELL PROTECTION(2)

 

Variation Margin

Reference Entity

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at
March 31, 2025
(3)

 

Notional
Amount
(4)

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value
(5)

 

Asset

 

Liability

AT&T, Inc.

1.000%

Quarterly

06/20/2028

0.514

%

$

600

$

(5)

$

14

$

9

$

0

$

(1)

Ford Motor Co.

5.000

Quarterly

06/20/2027

0.948

 

 

200

 

24

 

(6)

 

18

 

0

 

0

Verizon Communications, Inc.

1.000

Quarterly

06/20/2026

0.317

 

 

500

 

11

 

(7)

 

4

 

0

 

0

Verizon Communications, Inc.

1.000

Quarterly

06/20/2028

0.492

 

 

250

 

0

 

4

 

4

 

0

 

0

 

 

 

 

 

 

$

30

$

5

$

35

$

0

$

(1)

CREDIT DEFAULT SWAPS ON CREDIT INDEXES - SELL PROTECTION(2)

 

Variation Margin

Index/Tranches

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount
(4)

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value
(5)

 

Asset

 

Liability

CDX.EM-36 5-Year Index

1.000%

Quarterly

12/20/2026

$

552

$

(22)

$

22

$

0

$

1

$

0

CDX.EM-40 5-Year Index

1.000

Quarterly

12/20/2028

 

200

 

(10)

 

7

 

(3)

 

0

 

0

CDX.EM-42 5-Year Index

1.000

Quarterly

12/20/2029

 

200

 

(6)

 

1

 

(5)

 

0

 

0

CDX.EM-43 5-Year Index

1.000

Quarterly

06/20/2030

 

200

 

(7)

 

(1)

 

(8)

 

0

 

0

CDX.HY-43 5-Year Index

5.000

Quarterly

12/20/2029

 

4,500

 

327

 

(79)

 

248

 

1

 

0

CDX.HY-44 5-Year Index

5.000

Quarterly

06/20/2030

 

1,700

 

88

 

3

 

91

 

1

 

0

CDX.IG-43 5-Year Index

1.000

Quarterly

12/20/2029

 

1,500

 

34

 

(5)

 

29

 

0

 

0

CDX.IG-44 5-Year Index

1.000

Quarterly

06/20/2030

 

500

 

9

 

0

 

9

 

0

 

0

 

 

 

 

 

$

413

$

(52)

$

361

$

3

$

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

INTEREST RATE SWAPS

 

Variation Margin

Pay/
Receive
Floating Rate

Floating Rate Index

Fixed Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/
(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Market
Value

 

Asset

 

Liability

Receive

1-Day GBP-SONIO Compounded-OIS

3.500%

Annual

03/19/2030

GBP

300

$

10

$

(1)

$

9

$

0

$

(1)

Receive

1-Day GBP-SONIO Compounded-OIS

3.500

Annual

03/19/2035

 

1,300

 

81

 

10

 

91

 

0

 

(12)

Pay

1-Day JPY-MUTKCALM Compounded-OIS

0.176

Annual

04/27/2027

JPY

30,000

 

0

 

(3)

 

(3)

 

0

 

0

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.020

Semi-Annual

09/20/2028

 

210,000

 

4

 

46

 

50

 

0

 

(3)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.000

Semi-Annual

03/15/2029

 

641,000

 

45

 

129

 

174

 

0

 

(12)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.700

Annual

09/18/2029

 

130,000

 

2

 

8

 

10

 

0

 

(3)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.400

Annual

06/15/2032

 

90,200

 

2

 

28

 

30

 

0

 

(3)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

1.000

Annual

09/18/2034

 

70,000

 

4

 

6

 

10

 

0

 

(3)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.500

Annual

03/15/2042

 

48,000

 

13

 

43

 

56

 

0

 

(3)

Receive

1-Day JPY-MUTKCALM Compounded-OIS

0.711

Annual

04/27/2042

 

9,000

 

0

 

8

 

8

 

0

 

(1)

Pay

1-Day USD-SOFR Compounded-OIS

2.688

Annual

04/04/2025

$

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.690

Annual

04/04/2025

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.697

Annual

04/04/2025

 

200

 

(2)

 

(3)

 

(5)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.781

Annual

04/09/2025

 

200

 

(2)

 

(2)

 

(4)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.721

Annual

04/10/2025

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.785

Annual

04/10/2025

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.790

Annual

04/10/2025

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.835

Annual

04/10/2025

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.500

Annual

05/22/2025

 

14,420

 

(42)

 

(12)

 

(54)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.900

Annual

06/06/2025

 

8,480

 

12

 

(6)

 

6

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.600

Annual

01/16/2026

 

1,200

 

15

 

15

 

30

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

2.300

Annual

01/17/2026

 

1,000

 

0

 

18

 

18

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

0.928

Semi-Annual

05/06/2026

 

100

 

0

 

4

 

4

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

0.940

Semi-Annual

06/08/2026

 

100

 

0

 

4

 

4

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

0.500

Semi-Annual

06/16/2026

 

1,000

 

9

 

35

 

44

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.000

Semi-Annual

06/19/2026

 

2,300

 

(188)

 

205

 

17

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.500

Annual

06/21/2026

 

170

 

1

 

2

 

3

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.250

Semi-Annual

12/15/2026

 

100

 

(2)

 

6

 

4

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.740

Semi-Annual

12/16/2026

 

100

 

(5)

 

9

 

4

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.380

Semi-Annual

01/04/2027

 

100

 

0

 

(5)

 

(5)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.570

Semi-Annual

01/11/2027

 

200

 

0

 

(10)

 

(10)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.425

Semi-Annual

01/18/2027

 

100

 

0

 

(5)

 

(5)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.443

Semi-Annual

01/18/2027

 

100

 

0

 

(5)

 

(5)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.350

Semi-Annual

01/20/2027

 

500

 

0

 

27

 

27

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.550

Semi-Annual

01/20/2027

 

2,400

 

(6)

 

(112)

 

(118)

 

0

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Pay

1-Day USD-SOFR Compounded-OIS

1.580

Semi-Annual

02/16/2027

 

200

 

0

 

(10)

 

(10)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.450

Semi-Annual

02/17/2027

 

1,200

 

0

 

60

 

60

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.700

Semi-Annual

02/17/2027

 

4,900

 

(13)

 

(209)

 

(222)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.928

Annual

03/25/2027

 

200

 

(1)

 

(6)

 

(7)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.000

Annual

06/15/2027

 

200

 

8

 

10

 

18

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.850

Annual

08/30/2027

 

200

 

(1)

 

(5)

 

(6)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.900

Annual

10/04/2027

 

900

 

(7)

 

(17)

 

(24)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Annual

12/21/2027

 

200

 

14

 

(4)

 

10

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.800

Annual

03/10/2028

 

100

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.280

Semi-Annual

03/24/2028

 

400

 

0

 

(30)

 

(30)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.235

Semi-Annual

05/12/2028

 

100

 

0

 

8

 

8

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

0.500

Semi-Annual

06/16/2028

 

1,610

 

(67)

 

(100)

 

(167)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

2.250

Semi-Annual

06/20/2028

 

4,900

 

(419)

 

644

 

225

 

0

 

(2)

Receive

1-Day USD-SOFR Compounded-OIS

3.250

Annual

06/21/2028

 

2,110

 

2

 

51

 

53

 

0

 

(1)

Pay

1-Day USD-SOFR Compounded-OIS

3.800

Annual

09/05/2028

 

200

 

(2)

 

2

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.265

Semi-Annual

09/28/2028

 

100

 

0

 

(9)

 

(9)

 

1

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.515

Annual

11/30/2028

 

110

 

0

 

1

 

1

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.500

Semi-Annual

12/15/2028

 

422

 

9

 

(43)

 

(34)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.750

Annual

12/20/2028

 

1,690

 

10

 

(13)

 

(3)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.379

Semi-Annual

12/22/2028

 

100

 

0

 

9

 

9

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.500

Semi-Annual

01/12/2029

 

55

 

0

 

5

 

5

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.700

Semi-Annual

01/12/2029

 

200

 

(1)

 

(16)

 

(17)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.940

Annual

02/22/2029

 

200

 

(1)

 

3

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.970

Annual

02/27/2029

 

100

 

0

 

1

 

1

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.300

Annual

02/28/2029

 

220

 

0

 

3

 

3

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

4.250

Annual

03/20/2029

 

180

 

(6)

 

2

 

(4)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.000

Annual

06/15/2029

 

220

 

(9)

 

(20)

 

(29)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.000

Annual

06/15/2029

 

310

 

18

 

24

 

42

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.750

Annual

06/15/2029

 

282

 

16

 

12

 

28

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.750

Annual

06/20/2029

 

3,540

 

(61)

 

78

 

17

 

0

 

(3)

Receive(6)

1-Day USD-SOFR Compounded-OIS

4.100

Annual

08/31/2029

 

1,610

 

(26)

 

(5)

 

(31)

 

0

 

(2)

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Semi-Annual

12/10/2029

 

100

 

(9)

 

17

 

8

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.500

Semi-Annual

12/18/2029

 

200

 

(11)

 

31

 

20

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.750

Annual

12/18/2029

 

4,460

 

(69)

 

58

 

(11)

 

0

 

(4)

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Annual

12/21/2029

 

1,370

 

120

 

(13)

 

107

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.750

Semi-Annual

01/15/2030

 

300

 

(22)

 

52

 

30

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Semi-Annual

02/12/2030

 

200

 

(18)

 

36

 

18

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.470

Annual

02/22/2030

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.340

Annual

02/23/2030

 

200

 

(1)

 

(2)

 

(3)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.842

Annual

03/04/2030

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Semi-Annual

03/10/2030

 

100

 

(9)

 

18

 

9

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.250

Semi-Annual

06/17/2030

 

2,400

 

(97)

 

397

 

300

 

0

 

(2)

Receive

1-Day USD-SOFR Compounded-OIS

3.000

Annual

06/21/2030

 

2,460

 

35

 

78

 

113

 

0

 

(3)

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Pay

1-Day USD-SOFR Compounded-OIS

3.500

Annual

06/22/2030

 

200

 

(1)

 

(3)

 

(4)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.000

Semi-Annual

12/16/2030

 

127

 

0

 

19

 

19

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.500

Annual

12/20/2030

 

2,120

 

46

 

(23)

 

23

 

0

 

(3)

Receive

1-Day USD-SOFR Compounded-OIS

4.250

Annual

03/20/2031

 

280

 

(13)

 

4

 

(9)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.431

Annual

04/30/2031

 

110

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

0.750

Semi-Annual

06/16/2031

 

2,600

 

174

 

285

 

459

 

0

 

(4)

Pay

1-Day USD-SOFR Compounded-OIS

0.750

Semi-Annual

06/16/2031

 

663

 

(49)

 

(68)

 

(117)

 

1

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.750

Annual

06/20/2031

 

1,560

 

31

 

(23)

 

8

 

0

 

(3)

Receive

1-Day USD-SOFR Compounded-OIS

3.300

Annual

06/30/2031

 

110

 

0

 

3

 

3

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.450

Semi-Annual

07/16/2031

 

100

 

0

 

15

 

15

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.370

Semi-Annual

07/19/2031

 

100

 

0

 

15

 

15

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.360

Semi-Annual

07/20/2031

 

100

 

0

 

15

 

15

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.405

Semi-Annual

09/07/2031

 

100

 

(1)

 

16

 

15

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.500

Semi-Annual

10/05/2031

 

100

 

0

 

(15)

 

(15)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.535

Semi-Annual

10/15/2031

 

100

 

0

 

(15)

 

(15)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.545

Semi-Annual

10/26/2031

 

100

 

0

 

(15)

 

(15)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.750

Annual

12/18/2031

 

500

 

(2)

 

1

 

(1)

 

0

 

(1)

Receive(6)

1-Day USD-SOFR Compounded-OIS

4.100

Annual

12/31/2031

 

1,920

 

(35)

 

(13)

 

(48)

 

0

 

(4)

Pay

1-Day USD-SOFR Compounded-OIS

1.768

Semi-Annual

02/02/2032

 

100

 

0

 

(14)

 

(14)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

2.000

Semi-Annual

02/18/2032

 

200

 

(1)

 

(24)

 

(25)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.817

Annual

04/05/2032

 

400

 

(2)

 

(57)

 

(59)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.872

Annual

04/06/2032

 

200

 

(1)

 

(28)

 

(29)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.250

Annual

06/15/2032

 

210

 

(21)

 

(18)

 

(39)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.750

Annual

06/15/2032

 

280

 

(24)

 

(17)

 

(41)

 

1

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.750

Annual

06/15/2032

 

399

 

35

 

24

 

59

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Annual

12/21/2032

 

2,100

 

246

 

9

 

255

 

0

 

(5)

Pay

1-Day USD-SOFR Compounded-OIS

3.430

Annual

02/27/2033

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.370

Annual

03/01/2033

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.405

Annual

03/01/2033

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.425

Annual

03/01/2033

 

100

 

0

 

(2)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.300

Annual

03/06/2033

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.450

Annual

03/07/2033

 

100

 

0

 

(2)

 

(2)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.500

Annual

05/22/2033

 

6,420

 

63

 

117

 

180

 

0

 

(17)

Receive

1-Day USD-SOFR Compounded-OIS

3.700

Annual

06/06/2033

 

3,870

 

(31)

 

76

 

45

 

0

 

(10)

Pay

1-Day USD-SOFR Compounded-OIS

3.300

Annual

06/14/2033

 

200

 

(1)

 

(8)

 

(9)

 

1

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.000

Annual

06/21/2033

 

725

 

10

 

38

 

48

 

0

 

(2)

Pay

1-Day USD-SOFR Compounded-OIS

3.500

Annual

06/21/2033

 

100

 

(1)

 

(2)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.650

Annual

07/10/2033

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.750

Annual

07/12/2033

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.760

Annual

08/23/2033

 

100

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.800

Annual

08/30/2033

 

100

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.900

Annual

08/30/2033

 

100

 

0

 

1

 

1

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.950

Annual

09/13/2033

 

100

 

0

 

1

 

1

 

0

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Pay

1-Day USD-SOFR Compounded-OIS

4.165

Annual

09/27/2033

 

200

 

(1)

 

7

 

6

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.155

Annual

10/02/2033

 

100

 

0

 

3

 

3

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.170

Annual

10/03/2033

 

100

 

0

 

3

 

3

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.030

Annual

10/04/2033

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.175

Annual

10/10/2033

 

100

 

0

 

3

 

3

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.150

Annual

10/12/2033

 

100

 

(1)

 

4

 

3

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.220

Annual

10/20/2033

 

100

 

0

 

3

 

3

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.450

Annual

10/31/2033

 

100

 

0

 

5

 

5

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.450

Annual

11/01/2033

 

100

 

(1)

 

6

 

5

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

4.250

Annual

11/22/2033

 

100

 

(1)

 

(3)

 

(4)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

4.030

Annual

12/15/2033

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.950

Annual

12/19/2033

 

100

 

(1)

 

0

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.500

Annual

12/20/2033

 

40

 

0

 

(1)

 

(1)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.684

Annual

01/03/2034

 

100

 

(1)

 

2

 

1

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.648

Annual

01/08/2034

 

100

 

(1)

 

2

 

1

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.670

Annual

01/08/2034

 

100

 

(1)

 

2

 

1

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.594

Annual

01/09/2034

 

100

 

0

 

1

 

1

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.665

Annual

01/24/2034

 

100

 

(1)

 

0

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.685

Annual

01/24/2034

 

100

 

(1)

 

0

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.725

Annual

02/07/2034

 

100

 

(1)

 

1

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.860

Annual

02/21/2034

 

200

 

(1)

 

3

 

2

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.650

Annual

03/05/2034

 

100

 

(1)

 

0

 

(1)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.710

Annual

03/05/2034

 

100

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.900

Annual

04/10/2034

 

100

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.950

Annual

04/16/2034

 

100

 

0

 

1

 

1

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.080

Annual

04/17/2034

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.085

Annual

04/22/2034

 

100

 

(1)

 

3

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.150

Annual

04/22/2034

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.105

Annual

04/24/2034

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.078

Annual

04/29/2034

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.090

Annual

04/30/2034

 

200

 

(1)

 

5

 

4

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.130

Annual

05/03/2034

 

100

 

0

 

2

 

2

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.200

Annual

05/06/2034

 

100

 

0

 

3

 

3

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

4.080

Annual

06/05/2034

 

100

 

(1)

 

(1)

 

(2)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.750

Annual

06/20/2034

 

760

 

(20)

 

13

 

(7)

 

2

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.994

Annual

07/02/2034

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

4.060

Annual

07/02/2034

 

100

 

0

 

(2)

 

(2)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.880

Annual

07/10/2034

 

100

 

0

 

0

 

0

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.885

Annual

07/12/2034

 

100

 

0

 

0

 

0

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.850

Annual

08/05/2034

 

100

 

0

 

0

 

0

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.795

Annual

08/06/2034

 

100

 

(1)

 

1

 

0

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.645

Annual

08/07/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.715

Annual

08/07/2034

 

100

 

(1)

 

2

 

1

 

0

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Receive

1-Day USD-SOFR Compounded-OIS

3.679

Annual

08/13/2034

 

100

 

0

 

1

 

1

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.569

Annual

08/14/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.586

Annual

08/19/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.532

Annual

08/20/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.550

Annual

08/21/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.558

Annual

08/21/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.613

Annual

08/22/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.555

Annual

08/28/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.565

Annual

08/28/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.599

Annual

08/28/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.600

Annual

08/28/2034

 

100

 

(1)

 

3

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.611

Annual

08/28/2034

 

100

 

(1)

 

3

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.643

Annual

08/28/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.514

Annual

09/04/2034

 

100

 

0

 

3

 

3

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.525

Annual

09/04/2034

 

100

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.232

Annual

09/10/2034

 

50

 

0

 

2

 

2

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.280

Annual

09/16/2034

 

100

 

(1)

 

5

 

4

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.231

Annual

09/18/2034

 

100

 

0

 

5

 

5

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.248

Annual

09/18/2034

 

100

 

0

 

5

 

5

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.450

Annual

10/11/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.375

Annual

10/15/2034

 

100

 

0

 

(4)

 

(4)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.385

Annual

10/17/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.395

Annual

10/17/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.446

Annual

10/23/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.463

Annual

10/23/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.481

Annual

10/29/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.465

Annual

10/30/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.485

Annual

10/30/2034

 

100

 

0

 

(3)

 

(3)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.495

Annual

10/30/2034

 

100

 

0

 

(2)

 

(2)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.455

Annual

11/01/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.470

Annual

11/01/2034

 

100

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.435

Annual

11/05/2034

 

100

 

0

 

(3)

 

(3)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.535

Annual

11/06/2034

 

200

 

(1)

 

(3)

 

(4)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.860

Annual

11/14/2034

 

100

 

0

 

1

 

1

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.793

Annual

11/19/2034

 

100

 

(1)

 

1

 

0

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.750

Annual

12/18/2034

 

10

 

0

 

0

 

0

 

0

 

0

Pay

1-Day USD-SOFR Compounded-OIS

4.015

Annual

12/30/2034

 

100

 

0

 

2

 

2

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.933

Annual

01/06/2035

 

100

 

0

 

1

 

1

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.840

Annual

01/08/2035

 

100

 

0

 

1

 

1

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.890

Annual

01/08/2035

 

100

 

0

 

1

 

1

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.896

Annual

01/08/2035

 

100

 

0

 

1

 

1

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

3.880

Annual

01/13/2035

 

100

 

0

 

1

 

1

 

1

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.890

Annual

03/03/2035

 

50

 

0

 

(1)

 

(1)

 

0

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Receive

1-Day USD-SOFR Compounded-OIS

3.908

Annual

03/04/2035

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.874

Annual

03/05/2035

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Receive

1-Day USD-SOFR Compounded-OIS

3.905

Annual

03/12/2035

 

100

 

0

 

(1)

 

(1)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.975

Annual

03/21/2035

 

100

 

0

 

(2)

 

(2)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.930

Annual

03/24/2035

 

200

 

(1)

 

(2)

 

(3)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.884

Annual

03/25/2035

 

100

 

0

 

(1)

 

(1)

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.910

Semi-Annual

10/17/2049

 

100

 

(22)

 

57

 

35

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.895

Semi-Annual

10/18/2049

 

100

 

(21)

 

57

 

36

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.368

Annual

11/15/2049

 

140

 

0

 

12

 

12

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

3.464

Annual

11/15/2049

 

140

 

0

 

10

 

10

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

2.250

Semi-Annual

12/11/2049

 

900

 

(269)

 

536

 

267

 

0

 

(5)

Receive

1-Day USD-SOFR Compounded-OIS

2.000

Semi-Annual

01/15/2050

 

100

 

(24)

 

59

 

35

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.625

Semi-Annual

01/16/2050

 

100

 

(15)

 

56

 

41

 

0

 

(1)

Receive

1-Day USD-SOFR Compounded-OIS

1.750

Semi-Annual

01/22/2050

 

500

 

(89)

 

282

 

193

 

0

 

(3)

Receive

1-Day USD-SOFR Compounded-OIS

1.625

Semi-Annual

02/03/2050

 

300

 

(44)

 

166

 

122

 

0

 

(2)

Receive

1-Day USD-SOFR Compounded-OIS

2.250

Semi-Annual

03/12/2050

 

600

 

(183)

 

365

 

182

 

0

 

(3)

Receive

1-Day USD-SOFR Compounded-OIS

1.250

Semi-Annual

12/16/2050

 

400

 

38

 

149

 

187

 

0

 

(2)

Pay

1-Day USD-SOFR Compounded-OIS

1.491

Semi-Annual

01/21/2051

 

100

 

(1)

 

(43)

 

(44)

 

1

 

0

Pay

1-Day USD-SOFR Compounded-OIS

1.590

Semi-Annual

02/09/2051

 

900

 

(7)

 

(370)

 

(377)

 

4

 

0

Receive

1-Day USD-SOFR Compounded-OIS

1.785

Semi-Annual

08/12/2051

 

100

 

(1)

 

40

 

39

 

0

 

(1)

Receive(6)

1-Day USD-SOFR Compounded-OIS

4.000

Annual

11/15/2052

 

300

 

(13)

 

4

 

(9)

 

0

 

(2)

Pay

1-Day USD-SOFR Compounded-OIS

3.370

Annual

07/12/2053

 

100

 

(1)

 

(8)

 

(9)

 

1

 

0

Pay

1-Year BRL-CDI

9.874

Maturity

01/02/2026

BRL

500

 

0

 

(5)

 

(5)

 

0

 

0

Pay

1-Year BRL-CDI

9.899

Maturity

01/02/2026

 

200

 

0

 

(2)

 

(2)

 

0

 

0

Pay

1-Year BRL-CDI

9.939

Maturity

01/02/2026

 

400

 

0

 

(4)

 

(4)

 

0

 

0

Pay

1-Year BRL-CDI

10.052

Maturity

01/02/2026

 

1,000

 

0

 

(9)

 

(9)

 

0

 

0

Pay

1-Year BRL-CDI

10.085

Maturity

01/02/2026

 

900

 

0

 

(8)

 

(8)

 

0

 

0

Pay

1-Year BRL-CDI

10.105

Maturity

01/02/2026

 

900

 

0

 

(8)

 

(8)

 

0

 

0

Pay

1-Year BRL-CDI

9.998

Maturity

01/04/2027

 

700

 

0

 

(10)

 

(10)

 

0

 

0

Pay

1-Year BRL-CDI

10.037

Maturity

01/04/2027

 

200

 

0

 

(3)

 

(3)

 

0

 

0

Pay

1-Year BRL-CDI

10.041

Maturity

01/04/2027

 

800

 

0

 

(12)

 

(12)

 

0

 

0

Pay

1-Year BRL-CDI

10.072

Maturity

01/04/2027

 

400

 

0

 

(5)

 

(5)

 

0

 

0

Pay

1-Year BRL-CDI

10.090

Maturity

01/04/2027

 

1,500

 

0

 

(21)

 

(21)

 

1

 

0

Pay

1-Year BRL-CDI

10.098

Maturity

01/04/2027

 

1,190

 

0

 

(15)

 

(15)

 

1

 

0

Pay

1-Year BRL-CDI

10.138

Maturity

01/04/2027

 

400

 

0

 

(6)

 

(6)

 

0

 

0

Pay

1-Year BRL-CDI

10.165

Maturity

01/04/2027

 

610

 

0

 

(7)

 

(7)

 

0

 

0

Pay

1-Year BRL-CDI

10.170

Maturity

01/04/2027

 

1,010

 

0

 

(12)

 

(12)

 

1

 

0

Pay

1-Year BRL-CDI

10.183

Maturity

01/04/2027

 

1,810

 

0

 

(22)

 

(22)

 

1

 

0

Pay

1-Year BRL-CDI

10.203

Maturity

01/04/2027

 

1,410

 

0

 

(17)

 

(17)

 

1

 

0

Pay

1-Year BRL-CDI

10.210

Maturity

01/04/2027

 

200

 

0

 

(2)

 

(2)

 

0

 

0

Pay

1-Year BRL-CDI

10.256

Maturity

01/04/2027

 

1,410

 

0

 

(17)

 

(17)

 

1

 

0

Pay

1-Year BRL-CDI

10.328

Maturity

01/04/2027

 

1,040

 

0

 

(12)

 

(12)

 

1

 

0

Pay

1-Year BRL-CDI

11.250

Maturity

01/04/2027

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Year BRL-CDI

11.290

Maturity

01/04/2027

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Year BRL-CDI

11.746

Maturity

01/04/2027

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

1-Year BRL-CDI

11.901

Maturity

01/04/2027

 

300

 

0

 

(3)

 

(3)

 

0

 

0

Pay

3-Month AUD-BBR-BBSW

4.000

Semi-Annual

09/18/2029

AUD

2,200

 

23

 

(18)

 

5

 

5

 

0

Pay(6)

3-Month AUD-BBR-BBSW

4.500

Semi-Annual

06/18/2035

 

900

 

6

 

3

 

9

 

5

 

0

Pay

3-Month EUR-EURIBOR

2.770

Annual

04/16/2029

EUR

100

 

0

 

3

 

3

 

0

 

0

Pay

3-Month EUR-EURIBOR

2.860

Annual

04/24/2029

 

100

 

0

 

4

 

4

 

0

 

0

Pay

3-Month EUR-EURIBOR

2.780

Annual

05/02/2029

 

100

 

0

 

3

 

3

 

0

 

0

Pay

3-Month EUR-EURIBOR

2.827

Annual

05/06/2029

 

100

 

0

 

4

 

4

 

0

 

0

Receive

3-Month EUR-EURIBOR

2.300

Annual

09/25/2029

 

100

 

0

 

(1)

 

(1)

 

0

 

0

Pay

3-Month NZD-BBR

4.750

Semi-Annual

06/19/2029

NZD

300

 

2

 

8

 

10

 

1

 

0

Pay

3-Month ZAR-JIBAR

8.410

Quarterly

07/31/2028

ZAR

400

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.415

Quarterly

07/31/2028

 

400

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.420

Quarterly

07/31/2028

 

1,300

 

0

 

2

 

2

 

0

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Pay

3-Month ZAR-JIBAR

8.428

Quarterly

07/31/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.426

Quarterly

08/01/2028

 

500

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.460

Quarterly

08/01/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.460

Quarterly

08/02/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.464

Quarterly

08/02/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.550

Quarterly

08/03/2028

 

900

 

0

 

2

 

2

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.380

Quarterly

08/04/2028

 

400

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.410

Quarterly

08/04/2028

 

1,100

 

0

 

2

 

2

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.415

Quarterly

08/04/2028

 

400

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.421

Quarterly

08/04/2028

 

500

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.543

Quarterly

08/04/2028

 

500

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.360

Quarterly

08/07/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.400

Quarterly

08/07/2028

 

900

 

0

 

1

 

1

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.410

Quarterly

08/07/2028

 

200

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.000

Quarterly

01/03/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.001

Quarterly

01/06/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.010

Quarterly

01/07/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.030

Quarterly

01/07/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.053

Quarterly

01/07/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.058

Quarterly

01/07/2031

 

300

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.063

Quarterly

01/08/2031

 

800

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.080

Quarterly

01/08/2031

 

400

 

0

 

0

 

0

 

0

 

0

Pay

3-Month ZAR-JIBAR

8.203

Quarterly

01/10/2031

 

1,400

 

0

 

1

 

1

 

0

 

0

Pay

6-Month AUD-BBR-BBSW

2.750

Semi-Annual

06/17/2026

AUD

5,080

 

483

 

(546)

 

(63)

 

3

 

0

Receive

6-Month AUD-BBR-BBSW

3.000

Semi-Annual

03/21/2027

 

80

 

(9)

 

10

 

1

 

0

 

0

Pay

6-Month AUD-BBR-BBSW

4.500

Semi-Annual

09/20/2033

 

1,300

 

(3)

 

20

 

17

 

6

 

0

Pay

6-Month AUD-BBR-BBSW

4.500

Semi-Annual

03/20/2034

 

600

 

(2)

 

10

 

8

 

3

 

0

Pay

6-Month AUD-BBR-BBSW

4.500

Semi-Annual

09/18/2034

 

400

 

5

 

0

 

5

 

2

 

0

Pay

6-Month EUR-EURIBOR

3.370

Annual

10/09/2028

EUR

100

 

0

 

4

 

4

 

0

 

0

Pay

6-Month EUR-EURIBOR

3.450

Annual

10/20/2028

 

100

 

0

 

4

 

4

 

0

 

0

Receive

6-Month EUR-EURIBOR

2.360

Annual

10/07/2029

 

100

 

0

 

0

 

0

 

0

 

0

Pay(6)

6-Month EUR-EURIBOR

2.250

Annual

09/17/2030

 

5,900

 

(84)

 

33

 

(51)

 

13

 

0

Pay

6-Month EUR-EURIBOR

2.000

Annual

09/21/2032

 

680

 

8

 

(28)

 

(20)

 

2

 

0

Pay

6-Month EUR-EURIBOR

3.300

Annual

10/03/2033

 

100

 

0

 

6

 

6

 

1

 

0

Receive(6)

6-Month EUR-EURIBOR

0.830

Annual

12/09/2052

 

1,500

 

9

 

125

 

134

 

0

 

(1)

Receive(6)

6-Month EUR-EURIBOR

2.250

Annual

09/17/2055

 

2,210

 

178

 

2

 

180

 

0

 

(18)

Pay

28-Day MXN-TIIE

9.020

Lunar

12/17/2029

MXN

900

 

0

 

2

 

2

 

0

 

0

Pay

28-Day MXN-TIIE

8.990

Lunar

12/18/2029

 

700

 

0

 

1

 

1

 

0

 

0

Pay

28-Day MXN-TIIE

9.135

Lunar

12/27/2029

 

900

 

0

 

2

 

2

 

0

 

0

Pay

28-Day MXN-TIIE

9.150

Lunar

12/31/2029

 

1,100

 

0

 

2

 

2

 

0

 

0

Pay

28-Day MXN-TIIE

9.108

Lunar

03/13/2030

 

2,200

 

0

 

5

 

5

 

0

 

0

Pay

CAONREPO

3.750

Semi-Annual

12/20/2025

CAD

1,200

 

(20)

 

29

 

9

 

0

 

0

Pay

UKRPI

4.000

Maturity

09/15/2031

GBP

100

 

0

 

(14)

 

(14)

 

0

 

0

Pay

UKRPI

4.140

Maturity

10/15/2031

 

100

 

0

 

(12)

 

(12)

 

0

 

0

Pay

UKRPI

4.250

Maturity

11/15/2031

 

100

 

(1)

 

(9)

 

(10)

 

1

 

0

 

 

 

 

 

 

$

(356)

$

2,741

$

2,385

$

80

$

(158)

Total Swap Agreements

$

82

$

2,693

$

2,775

$

83

$

(159)

(j)

Securities with an aggregate market value of $855 and cash of $2,266 have been pledged as collateral for exchange-traded and centrally cleared financial derivative instruments as of March 31, 2025.

(1)

If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(2)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(3)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate or sovereign issues as of period end serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(4)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(5)

The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(6)

This instrument has a forward starting effective date.

(k)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

FORWARD FOREIGN CURRENCY CONTRACTS:

 

Unrealized Appreciation/(Depreciation)

Counterparty

Settlement
Month

 

Currency to
be Delivered

 

Currency to
be Received

 

Asset

 

Liability

AZD

04/2025

JPY

17,121

$

113

$

0

$

(1)

 

04/2025

$

763

AUD

1,206

 

0

 

(9)

 

04/2025

 

71

JPY

10,553

 

0

 

0

 

05/2025

AUD

1,206

$

763

 

9

 

0

 

05/2025

CNH

555

 

76

 

0

 

(1)

 

05/2025

$

283

CNH

2,051

 

0

 

0

 

05/2025

 

113

JPY

17,064

 

1

 

0

 

06/2025

CNH

1,234

$

169

 

0

 

(2)

 

07/2025

 

1,021

 

142

 

0

 

0

 

08/2025

 

1,021

 

142

 

0

 

0

BOA

05/2025

 

542

 

74

 

0

 

(1)

 

05/2025

IDR

204,590

 

12

 

0

 

0

 

05/2025

TRY

98

 

3

 

0

 

0

 

05/2025

$

16

INR

1,406

 

0

 

0

 

06/2025

CNH

616

$

85

 

0

 

(1)

 

06/2025

$

83

CNH

598

 

0

 

0

 

08/2025

TWD

31

$

1

 

0

 

0

BPS

04/2025

EUR

4,058

 

4,255

 

0

 

(133)

 

04/2025

GBP

87

 

112

 

0

 

(1)

 

04/2025

IDR

1,094,062

 

66

 

0

 

0

 

04/2025

JPY

6,110

 

41

 

0

 

0

 

04/2025

TRY

3,070

 

80

 

0

 

0

 

04/2025

TWD

16,271

 

496

 

6

 

0

 

04/2025

$

232

IDR

3,808,100

 

0

 

(4)

 

04/2025

 

105

INR

9,159

 

2

 

0

 

04/2025

 

696

JPY

103,805

 

0

 

(4)

 

04/2025

 

152

KRW

221,043

 

0

 

(2)

 

04/2025

 

110

TRY

4,211

 

1

 

0

 

04/2025

 

242

TWD

7,921

 

0

 

(4)

 

04/2025

ZAR

1,184

$

65

 

0

 

0

 

05/2025

CNH

1,932

 

266

 

0

 

(1)

 

05/2025

IDR

587,847

 

35

 

0

 

0

 

05/2025

$

57

IDR

947,174

 

0

 

0

 

05/2025

 

147

INR

12,633

 

0

 

0

 

05/2025

 

41

JPY

6,090

 

0

 

0

 

06/2025

CNH

1,380

$

189

 

0

 

(2)

 

06/2025

$

169

CNH

1,219

 

0

 

0

 

06/2025

 

260

PLN

1,011

 

2

 

(1)

 

07/2025

TWD

4,372

$

135

 

2

 

0

 

08/2025

 

3,500

 

107

 

1

 

0

 

09/2025

ILS

994

 

272

 

3

 

0

 

05/2029

KWD

23

 

80

 

2

 

0

 

07/2029

 

3

 

10

 

0

 

0

BRC

04/2025

INR

402

 

5

 

0

 

0

 

04/2025

TRY

5,139

 

132

 

0

 

(1)

 

04/2025

$

63

EUR

58

 

0

 

0

 

04/2025

 

68

IDR

1,105,909

 

0

 

(1)

 

04/2025

 

420

TRY

16,205

 

2

 

(4)

 

05/2025

TRY

80

$

2

 

0

 

0

 

05/2025

$

313

TRY

12,189

 

0

 

(8)

 

06/2025

TRY

818

$

19

 

0

 

0

 

06/2025

$

7

PLN

27

 

0

 

0

 

06/2025

 

78

TRY

3,122

 

0

 

(4)

BSH

04/2025

AUD

1,206

$

764

 

11

 

0

 

04/2025

JPY

163,274

 

1,087

 

0

 

(1)

 

04/2025

PEN

217

 

58

 

0

 

(1)

 

05/2025

 

90

 

24

 

0

 

(1)

 

05/2025

$

1,087

JPY

162,725

 

1

 

0

 

06/2025

PEN

1,661

$

450

 

0

 

(1)

 

06/2025

$

56

PLN

216

 

0

 

(1)

 

07/2025

PEN

190

$

51

 

0

 

(1)

CBK

04/2025

IDR

1,519,592

 

92

 

0

 

0

 

04/2025

ILS

439

 

120

 

2

 

0

 

04/2025

INR

873

 

10

 

0

 

0

 

04/2025

PEN

216

 

58

 

0

 

(1)

 

04/2025

TWD

19,871

 

607

 

8

 

0

 

04/2025

$

828

CAD

1,179

 

0

 

(8)

 

04/2025

 

227

GBP

175

 

0

 

(1)

 

04/2025

 

181

IDR

2,967,606

 

0

 

(3)

 

04/2025

 

42

INR

3,642

 

1

 

0

 

04/2025

 

11

KRW

16,090

 

0

 

0

 

04/2025

 

57

PEN

209

 

0

 

(1)

 

04/2025

 

664

TWD

21,755

 

0

 

(9)

 

05/2025

CAD

1,177

$

828

 

8

 

0

 

05/2025

IDR

626,074

 

38

 

0

 

0

 

05/2025

PEN

80

 

21

 

0

 

(1)

 

05/2025

$

57

IDR

944,805

 

0

 

0

 

06/2025

CNH

365

$

50

 

0

 

0

 

06/2025

KRW

783,801

 

545

 

12

 

0

 

06/2025

PEN

399

 

109

 

1

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

07/2025

 

127

 

34

 

0

 

0

 

07/2025

TWD

7,982

 

245

 

4

 

0

 

08/2025

PEN

20

 

5

 

0

 

0

 

08/2025

TWD

7,813

 

240

 

2

 

0

DUB

04/2025

ILS

443

 

122

 

3

 

0

 

04/2025

NZD

47

 

27

 

0

 

0

 

04/2025

$

48

EUR

46

 

2

 

0

 

04/2025

 

142

IDR

2,350,559

 

0

 

(1)

 

04/2025

 

24

INR

2,105

 

0

 

0

 

04/2025

 

27

NZD

47

 

0

 

0

 

04/2025

 

56

PEN

204

 

0

 

0

 

05/2025

IDR

87,346

$

5

 

0

 

0

 

05/2025

NZD

47

 

27

 

0

 

0

 

06/2025

KRW

613,450

 

427

 

9

 

0

 

09/2025

PEN

205

 

56

 

0

 

0

FAR

04/2025

CHF

709

 

795

 

0

 

(6)

 

04/2025

ILS

397

 

109

 

3

 

0

 

04/2025

JPY

116,813

 

776

 

0

 

(3)

 

04/2025

$

540

JPY

80,524

 

0

 

(3)

 

05/2025

 

72

CNH

521

 

0

 

0

 

05/2025

 

776

JPY

116,420

 

3

 

0

 

06/2025

 

112

PLN

433

 

0

 

0

 

07/2025

CNH

519

$

72

 

0

 

0

GLM

04/2025

BRL

12,715

 

2,214

 

0

 

(14)

 

04/2025

IDR

1,369,979

 

83

 

0

 

0

 

04/2025

PEN

1,247

 

334

 

0

 

(5)

 

04/2025

TRY

250

 

6

 

0

 

0

 

04/2025

$

2,207

BRL

12,715

 

21

 

0

 

04/2025

 

137

IDR

2,252,294

 

0

 

(2)

 

04/2025

 

15

KRW

21,925

 

0

 

0

 

04/2025

 

17

TRY

652

 

0

 

0

 

05/2025

CNH

527

$

72

 

0

 

(1)

 

05/2025

IDR

300,843

 

18

 

0

 

0

 

05/2025

$

83

IDR

1,371,216

 

0

 

0

 

06/2025

 

20

CNH

148

 

0

 

0

 

06/2025

 

61

PLN

234

 

0

 

0

 

07/2025

BRL

6,400

$

1,068

 

0

 

(32)

 

07/2025

TWD

2,486

 

76

 

1

 

0

JPM

04/2025

EUR

41

 

43

 

0

 

(1)

 

04/2025

IDR

69,202

 

4

 

0

 

0

 

04/2025

ILS

347

 

95

 

2

 

0

 

04/2025

JPY

35,995

 

239

 

0

 

(2)

 

04/2025

TRY

482

 

12

 

0

 

0

 

04/2025

TWD

2,634

 

80

 

1

 

0

 

04/2025

$

4,416

EUR

4,094

 

11

 

0

 

04/2025

 

28

IDR

462,310

 

0

 

0

 

04/2025

 

67

INR

5,792

 

1

 

0

 

04/2025

 

580

JPY

86,415

 

0

 

(4)

 

04/2025

 

11

KRW

16,083

 

0

 

0

 

04/2025

 

211

TWD

6,917

 

0

 

(3)

 

04/2025

ZAR

642

$

35

 

0

 

0

 

05/2025

CNH

564

 

77

 

0

 

(1)

 

05/2025

EUR

4,094

 

4,423

 

0

 

(11)

 

05/2025

IDR

218,840

 

13

 

0

 

0

 

05/2025

$

265

CNH

1,924

 

0

 

0

 

05/2025

 

239

JPY

35,875

 

2

 

0

 

05/2025

 

249

TRY

10,526

 

18

 

(3)

 

06/2025

CNH

206

$

28

 

0

 

0

 

06/2025

MXN

5,601

 

271

 

1

 

0

 

06/2025

$

234

PLN

906

 

1

 

(1)

 

06/2025

 

23

TRY

909

 

0

 

(1)

 

07/2025

CNH

984

$

136

 

0

 

0

 

07/2025

TWD

4,426

 

136

 

2

 

0

 

08/2025

CNH

931

 

129

 

0

 

0

 

08/2025

TWD

5,010

 

154

 

1

 

0

MBC

04/2025

CHF

89

 

101

 

0

 

0

 

04/2025

EUR

84

 

91

 

1

 

0

 

04/2025

JPY

9,700

 

65

 

1

 

0

 

04/2025

TWD

4,104

 

127

 

3

 

0

 

04/2025

$

902

CHF

797

 

0

 

(1)

 

04/2025

 

47

EUR

43

 

0

 

(1)

 

04/2025

 

6

IDR

98,520

 

0

 

0

 

04/2025

 

57

INR

4,959

 

1

 

0

 

04/2025

 

122

TWD

3,996

 

0

 

(1)

 

04/2025

ZAR

1,435

$

79

 

0

 

0

 

05/2025

CHF

794

 

902

 

1

 

0

 

05/2025

CNH

908

 

125

 

0

 

0

 

05/2025

IDR

120,678

 

7

 

0

 

0

 

05/2025

$

131

CNH

949

 

0

 

0

 

06/2025

KRW

151,596

$

105

 

2

 

0

 

06/2025

$

78

PLN

302

 

0

 

(1)

 

07/2025

CNH

472

$

65

 

0

 

0

 

07/2025

TWD

2,032

 

62

 

1

 

0

 

08/2025

CNH

1,197

 

166

 

0

 

0

 

08/2025

TWD

1,940

 

59

 

0

 

0

MYI

04/2025

CAD

1,179

 

829

 

9

 

0

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

04/2025

EUR

58

 

63

 

0

 

0

 

04/2025

ZAR

1,954

 

107

 

1

 

0

 

05/2025

IDR

140,772

 

8

 

0

 

0

 

05/2025

$

63

EUR

58

 

0

 

0

 

06/2025

CNH

251

$

35

 

0

 

0

 

06/2025

$

18

PLN

70

 

0

 

0

NGF

06/2025

KRW

147,160

$

103

 

3

 

0

SCX

04/2025

BRL

12,771

 

2,185

 

0

 

(53)

 

04/2025

JPY

9,432

 

63

 

0

 

0

 

04/2025

PEN

204

 

54

 

0

 

(2)

 

04/2025

TWD

2,174

 

67

 

2

 

0

 

04/2025

$

2,224

BRL

12,771

 

14

 

0

 

04/2025

 

84

IDR

1,377,883

 

0

 

(2)

 

04/2025

 

11

KRW

16,066

 

0

 

0

 

04/2025

 

36

TWD

1,170

 

0

 

0

 

05/2025

CNH

742

$

103

 

1

 

0

 

05/2025

IDR

47,120

 

3

 

0

 

0

 

05/2025

$

76

JPY

11,423

 

0

 

0

 

06/2025

 

2,185

BRL

12,933

 

53

 

0

 

08/2025

TWD

1,160

$

36

 

0

 

0

SSB

04/2025

GBP

3,035

 

3,842

 

0

 

(79)

 

04/2025

PEN

106

 

28

 

0

 

(1)

 

04/2025

$

3,811

GBP

2,947

 

0

 

(4)

 

05/2025

GBP

2,947

$

3,811

 

4

 

0

UAG

04/2025

IDR

165,237

 

10

 

0

 

0

 

04/2025

$

10

IDR

165,237

 

0

 

0

 

04/2025

 

532

JPY

79,172

 

0

 

(4)

 

04/2025

 

5

TRY

221

 

0

 

0

 

05/2025

 

10

IDR

165,470

 

0

 

0

 

06/2025

 

25

PLN

95

 

0

 

0

Total Forward Foreign Currency Contracts

$

260

$

(458)

WRITTEN OPTIONS:

INTEREST RATE SWAPTIONS

Counterparty

Description

Floating Rate
Index

Pay/Receive
Floating Rate

Exercise
Rate

Expiration
Date

 

Notional
Amount
(1)

 

Premiums
(Received)

 

Market
Value

BOM

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.738%

04/28/2025

 

100

$

0

$

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.088

04/28/2025

 

100

 

0

 

0

BPS

Call - OTC 5-Year Interest Rate Swap

6-Month EUR-EURIBOR

Receive

2.400

04/07/2025

 

100

 

0

 

0

 

Put - OTC 5-Year Interest Rate Swap

6-Month EUR-EURIBOR

Pay

2.750

04/07/2025

 

100

 

0

 

0

BRC

Call - OTC 10-Year Interest Rate Swap

6-Month EUR-EURIBOR

Receive

2.510

04/07/2025

 

100

 

0

 

0

 

Put - OTC 10-Year Interest Rate Swap

6-Month EUR-EURIBOR

Pay

2.860

04/07/2025

 

100

 

0

 

0

FAR

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.715

04/24/2025

 

100

 

0

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.065

04/24/2025

 

100

 

0

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.593

04/30/2025

 

100

 

0

 

0

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

3.943

04/30/2025

 

100

 

0

 

0

GLM

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.535

04/10/2025

 

100

 

(1)

 

0

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

3.985

04/10/2025

 

100

 

(1)

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.723

04/14/2025

 

100

 

(1)

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.073

04/14/2025

 

100

 

(1)

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.695

04/17/2025

 

100

 

(1)

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.045

04/17/2025

 

100

 

(1)

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.710

04/21/2025

 

100

 

0

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.060

04/21/2025

 

100

 

0

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.713

04/28/2025

 

100

 

0

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.063

04/28/2025

 

100

 

0

 

0

 

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.600

04/30/2025

 

100

 

(1)

 

(1)

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

3.950

04/30/2025

 

100

 

(1)

 

0

MYC

Call - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Receive

3.710

04/14/2025

 

100

 

(1)

 

(1)

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Put - OTC 10-Year Interest Rate Swap

3-Month USD-SOFR

Pay

4.060

04/14/2025

 

100

 

(1)

 

0

NGF

Call - OTC 10-Year Interest Rate Swap

6-Month EUR-EURIBOR

Receive

2.530

04/17/2025

 

100

 

0

 

0

 

Put - OTC 10-Year Interest Rate Swap

6-Month EUR-EURIBOR

Pay

2.890

04/17/2025

 

100

 

0

 

0

Total Written Options

$

(10)

$

(8)

SWAP AGREEMENTS:

CREDIT DEFAULT SWAPS ON CORPORATE AND SOVEREIGN ISSUES - SELL PROTECTION(2)

 

Swap Agreements, at Value(5)

Counterparty

Reference Entity

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at
March 31, 2025
(3)

 

Notional
Amount
(4)

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

CBK

Israel Government International Bond

1.000%

Quarterly

06/20/2027

'0.570%

$

100

$

(1)

$

2

$

1

$

0

DUB

Petroleos Mexicanos «

4.750

Monthly

07/06/2026

0.003

 

377

 

0

 

2

 

2

 

0

 

Petroleos Mexicanos «

4.850

Monthly

07/06/2026

0.004

 

94

 

0

 

1

 

1

 

0

GST

Colombia Government International Bond

1.000

Quarterly

12/20/2027

1.335

 

100

 

(9)

 

8

 

0

 

(1)

 

Soft Bank Group,Inc.

1.000

Quarterly

06/20/2026

1.326

 

100

 

(1)

 

1

 

0

 

0

MYC

Mexico Government International Bond

1.000

Quarterly

06/20/2027

0.716

 

100

 

0

 

1

 

1

 

0

 

Mexico Government International Bond

1.000

Quarterly

06/20/2028

0.908

 

100

 

(2)

 

2

 

0

 

0

 

Mexico Government International Bond

1.000

Quarterly

12/20/2028

1.029

 

300

 

(3)

 

3

 

0

 

0

 

South Africa Government International Bond

1.000

Quarterly

12/20/2026

1.094

 

200

 

(9)

 

9

 

0

 

0

 

 

 

 

 

 

 

$

(25)

$

29

$

5

$

(1)

CREDIT DEFAULT SWAPS ON CREDIT INDEXES - SELL PROTECTION(2)

 

Swap Agreements, at Value(5)

Counterparty

Index/Tranches

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount
(4)

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

CMBX.NA.AAA.10 Index

0.500%

Monthly

11/17/2059

$

4,000

$

(85)

$

88

$

3

$

0

MYC

CMBX.NA.AAA.13 Index

0.500

Monthly

12/16/2072

 

5,700

 

(2)

 

(13)

 

0

 

(15)

 

 

 

 

 

 

$

(87)

$

75

$

3

$

(15)

Total Swap Agreements

$

(112)

$

104

$

8

$

(16)

(1)

Notional Amount represents the number of contracts.

(2)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(3)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate or sovereign issues as of period end serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(4)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(5)

The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Investments in Securities, at Value

Asset-Backed Securities

 

Cayman Islands

 

CMBS Other

$

0

$

392

$

0

$

392

 

 

Other ABS

 

0

 

6,909

 

0

 

6,909

 

 

Ireland

 

Other ABS

 

0

 

1,213

 

0

 

1,213

 

 

Italy

 

Automobile ABS Other

 

0

 

390

 

0

 

390

 

 

Jersey, Channel Islands

 

Other ABS

 

0

 

400

 

0

 

400

 

 

United States

 

Automobile ABS Other

 

0

 

251

 

0

 

251

 

 

Automobile Sequential

 

0

 

5,083

 

0

 

5,083

 

 

CMBS Other

 

0

 

243

 

0

 

243

 

 

Home Equity Other

 

0

 

7,346

 

0

 

7,346

 

 

Other ABS

 

0

 

7,042

 

0

 

7,042

 

 

Whole Loan Collateral

 

0

 

1,210

 

0

 

1,210

 

Loan Participations and Assignments

 

France

 

0

 

89

 

0

 

89

 

 

United Kingdom

 

0

 

0

 

262

 

262

 

 

United States

 

0

 

22

 

642

 

664

 

Common Stocks

 

Australia

 

Industrials

 

0

 

684

 

0

 

684

 

 

Materials

 

0

 

640

 

0

 

640

 

 

Austria

 

Energy

 

0

 

163

 

0

 

163

 

 

Financials

 

0

 

478

 

0

 

478

 

 

Belgium

 

Financials

 

0

 

197

 

0

 

197

 

 

Brazil

 

Consumer Staples

 

251

 

0

 

0

 

251

 

 

Energy

 

598

 

0

 

0

 

598

 

 

Financials

 

191

 

0

 

0

 

191

 

 

Materials

 

811

 

0

 

0

 

811

 

 

Canada

 

Energy

 

1,020

 

0

 

0

 

1,020

 

 

Chile

 

Financials

 

0

 

134

 

0

 

134

 

 

China

 

Communication Services

 

0

 

892

 

0

 

892

 

 

Consumer Discretionary

 

0

 

604

 

0

 

604

 

 

Energy

 

0

 

657

 

0

 

657

 

 

Financials

 

0

 

602

 

0

 

602

 

 

Industrials

 

0

 

188

 

0

 

188

 

 

Czech Republic

 

Utilities

 

179

 

0

 

0

 

179

 

 

Denmark

 

Industrials

 

0

 

178

 

0

 

178

 

 

Finland

 

Industrials

 

0

 

118

 

0

 

118

 

 

Information Technology

 

0

 

629

 

0

 

629

 

 

France

 

Consumer Discretionary

 

0

 

224

 

0

 

224

 

 

Financials

 

0

 

198

 

0

 

198

 

 

Industrials

 

0

 

164

 

0

 

164

 

 

Utilities

 

0

 

369

 

0

 

369

 

 

Germany

 

Industrials

 

0

 

192

 

0

 

192

 

 

Materials

 

0

 

492

 

0

 

492

 

 

Greece

 

Financials

 

0

 

328

 

0

 

328

 

 

Hong Kong

 

Consumer Discretionary

 

0

 

273

 

0

 

273

 

 

Consumer Staples

 

0

 

161

 

0

 

161

 

 

Real Estate

 

0

 

548

 

0

 

548

 

 

Utilities

 

0

 

301

 

0

 

301

 

 

Indonesia

 

Communication Services

 

0

 

161

 

0

 

161

 

 

Financials

 

0

 

603

 

0

 

603

 

 

Industrials

 

0

 

128

 

0

 

128

 

 

Ireland

 

Financials

 

0

 

285

 

0

 

285

 

 

Health Care

 

1,356

 

0

 

0

 

1,356

 

 

Israel

 

Financials

 

0

 

950

 

0

 

950

 

 

Italy

 

Financials

 

0

 

1,318

 

0

 

1,318

 

 

Utilities

 

1,088

 

0

 

0

 

1,088

 

 

Japan

 

Consumer Discretionary

 

0

 

453

 

0

 

453

 

 

Consumer Staples

 

0

 

693

 

0

 

693

 

 

Financials

 

0

 

848

 

0

 

848

 

 

Health Care

 

0

 

256

 

0

 

256

 

 

Industrials

 

0

 

1,410

 

0

 

1,410

 

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Information Technology

 

0

 

302

 

0

 

302

 

 

Real Estate

 

0

 

133

 

0

 

133

 

 

Utilities

 

0

 

170

 

0

 

170

 

 

Luxembourg

 

Energy

 

0

 

182

 

0

 

182

 

 

Financials

 

0

 

0

 

97

 

97

 

 

Industrials

 

0

 

0

 

55

 

55

 

 

Malaysia

 

Utilities

 

0

 

197

 

0

 

197

 

 

Mexico

 

Materials

 

347

 

0

 

0

 

347

 

 

Netherlands

 

Communication Services

 

0

 

370

 

0

 

370

 

 

Consumer Discretionary

 

0

 

464

 

0

 

464

 

 

Consumer Staples

 

0

 

473

 

0

 

473

 

 

Norway

 

Communication Services

 

0

 

177

 

0

 

177

 

 

Energy

 

0

 

665

 

0

 

665

 

 

Poland

 

Energy

 

0

 

229

 

0

 

229

 

 

Financials

 

0

 

739

 

0

 

739

 

 

Singapore

 

Financials

 

0

 

190

 

0

 

190

 

 

Industrials

 

0

 

158

 

0

 

158

 

 

South Africa

 

Financials

 

497

 

777

 

0

 

1,274

 

 

Materials

 

0

 

210

 

0

 

210

 

 

South Korea

 

Consumer Discretionary

 

0

 

318

 

0

 

318

 

 

Consumer Staples

 

0

 

139

 

0

 

139

 

 

Financials

 

0

 

319

 

0

 

319

 

 

Information Technology

 

0

 

132

 

0

 

132

 

 

Spain

 

Consumer Discretionary

 

0

 

507

 

0

 

507

 

 

Energy

 

0

 

329

 

0

 

329

 

 

Financials

 

0

 

2,302

 

0

 

2,302

 

 

Industrials

 

0

 

212

 

0

 

212

 

 

Utilities

 

170

 

0

 

0

 

170

 

 

Sweden

 

Consumer Discretionary

 

0

 

266

 

0

 

266

 

 

Industrials

 

0

 

136

 

0

 

136

 

 

Information Technology

 

0

 

485

 

0

 

485

 

 

Switzerland

 

Consumer Staples

 

0

 

125

 

0

 

125

 

 

Financials

 

0

 

1,125

 

0

 

1,125

 

 

Health Care

 

0

 

2,689

 

0

 

2,689

 

 

Materials

 

0

 

634

 

0

 

634

 

 

Taiwan

 

Information Technology

 

0

 

1,979

 

0

 

1,979

 

 

United Kingdom

 

Consumer Discretionary

 

0

 

129

 

0

 

129

 

 

Consumer Staples

 

0

 

2,915

 

0

 

2,915

 

 

Financials

 

0

 

963

 

0

 

963

 

 

Industrials

 

0

 

1,284

 

0

 

1,284

 

 

Materials

 

0

 

1,128

 

0

 

1,128

 

 

Utilities

 

0

 

189

 

0

 

189

 

 

United States

 

Communication Services

 

4,338

 

0

 

9

 

4,347

 

 

Consumer Discretionary

 

2,696

 

0

 

0

 

2,696

 

 

Consumer Staples

 

8,367

 

0

 

0

 

8,367

 

 

Energy

 

2,916

 

0

 

0

 

2,916

 

 

Financials

 

3,980

 

0

 

0

 

3,980

 

 

Health Care

 

6,843

 

0

 

196

 

7,039

 

 

Industrials

 

3,396

 

0

 

1

 

3,397

 

 

Information Technology

 

5,700

 

0

 

0

 

5,700

 

 

Materials

 

305

 

0

 

0

 

305

 

 

Utilities

 

852

 

0

 

0

 

852

 

Corporate Bonds & Notes

 

Bermuda

 

Industrials

 

0

 

206

 

0

 

206

 

 

France

 

Banking & Finance

 

0

 

684

 

0

 

684

 

 

Industrials

 

0

 

179

 

0

 

179

 

 

Germany

 

Banking & Finance

 

0

 

184

 

0

 

184

 

 

Ireland

 

Industrials

 

0

 

272

 

0

 

272

 

 

Italy

 

Banking & Finance

 

0

 

222

 

0

 

222

 

 

Japan

 

Industrials

 

0

 

825

 

0

 

825

 

 

Luxembourg

 

Industrials

 

0

 

198

 

0

 

198

 

 

Utilities

 

0

 

27

 

0

 

27

 

 

Spain

 

Banking & Finance

 

0

 

425

 

0

 

425

 

Schedule of Investments PIMCO Dividend and Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Switzerland

 

Banking & Finance

 

0

 

1,262

 

0

 

1,262

 

 

United Kingdom

 

Banking & Finance

 

0

 

987

 

0

 

987

 

 

Industrials

 

0

 

468

 

0

 

468

 

 

United States

 

Banking & Finance

 

0

 

954

 

0

 

954

 

 

Industrials

 

0

 

2,428

 

0

 

2,428

 

 

Utilities

 

0

 

1,246

 

0

 

1,246

 

 

Venezuela

 

Industrials

 

0

 

45

 

0

 

45

 

Non-Agency Mortgage-Backed Securities

 

Ireland

 

0

 

1,628

 

0

 

1,628

 

 

United Kingdom

 

0

 

3,302

 

0

 

3,302

 

 

United States

 

0

 

16,428

 

0

 

16,428

 

Master Limited Partnerships

 

United States

 

Energy

 

146

 

0

 

0

 

146

 

Municipal Bonds & Notes

 

Illinois

 

0

 

16

 

0

 

16

 

 

Puerto Rico

 

0

 

49

 

0

 

49

 

Preferred Stocks

 

Brazil

 

Utilities

 

656

 

0

 

0

 

656

 

 

South Korea

 

Industrials

 

0

 

88

 

0

 

88

 

 

United Kingdom

 

Banking & Finance

 

0

 

64

 

0

 

64

 

Real Estate Investment Trusts

 

France

 

Real Estate

 

0

 

162

 

0

 

162

 

 

Hong Kong

 

Real Estate

 

0

 

274

 

0

 

274

 

 

Japan

 

Real Estate

 

146

 

0

 

0

 

146

 

 

United States

 

Real Estate

 

8,261

 

0

 

0

 

8,261

 

Sovereign Issues

 

Argentina

 

0

 

726

 

0

 

726

 

 

Brazil

 

0

 

1,086

 

0

 

1,086

 

 

Egypt

 

0

 

231

 

0

 

231

 

 

Israel

 

0

 

667

 

0

 

667

 

 

Mexico

 

0

 

1,569

 

0

 

1,569

 

 

Peru

 

0

 

1,207

 

0

 

1,207

 

 

Romania

 

0

 

741

 

0

 

741

 

 

Saudi Arabia

 

0

 

307

 

0

 

307

 

 

South Africa

 

0

 

750

 

0

 

750

 

 

Turkey

 

0

 

353

 

0

 

353

 

 

Venezuela

 

0

 

10

 

0

 

10

 

U.S. Government Agencies

 

United States

 

0

 

55,148

 

0

 

55,148

 

U.S. Treasury Obligations

 

United States

 

0

 

19,745

 

0

 

19,745

 

Short-Term Instruments

 

Mutual Funds

 

0

 

523

 

0

 

523

 

 

$

55,110

$

186,536

$

1,262

$

242,908

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

$

1,037

$

0

$

0

$

1,037

 

Total Investments

$

56,147

$

186,536

$

1,262

$

243,945

 

Financial Derivative Instruments - Assets

Exchange-traded or centrally cleared

 

70

 

86

 

0

 

156

 

Over the counter

 

0

 

265

 

3

 

268

 

 

$

70

$

351

$

3

$

424

 

Financial Derivative Instruments - Liabilities

Exchange-traded or centrally cleared

 

(21)

 

(166)

 

0

 

(187)

 

Over the counter

 

0

 

(482)

 

0

 

(482)

 

 

$

(21)

$

(648)

$

0

$

(669)

 

Total Financial Derivative Instruments

$

49

$

(297)

$

3

$

(245)

 

Totals

$

56,196

$

186,239

$

1,265

$

243,700

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAE Emerging Markets Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.5% ¤

 

 

 

 

COMMON STOCKS 92.5%

 

 

 

 

BRAZIL 7.9%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Telefonica Brasil SA

 

381,500

$

3,331

CONSUMER DISCRETIONARY 0.4%

 

 

 

 

Vibra Energia SA

 

2,759,300

 

8,597

CONSUMER STAPLES 1.3%

 

 

 

 

Ambev SA

 

2,909,200

 

6,882

JBS SA

 

2,706,100

 

19,495

Marfrig Global Foods SA

 

579,400

 

1,834

 

 

 

 

28,211

FINANCIALS 1.0%

 

 

 

 

B3 SA - Brasil Bolsa Balcao

 

3,683,600

 

7,837

Banco do Brasil SA

 

1,616,080

 

7,983

Banco Santander Brasil SA

 

1,198,400

 

5,611

 

 

 

 

21,431

INDUSTRIALS 0.0%

 

 

 

 

CCR SA

 

442,200

 

902

MATERIALS 4.9%

 

 

 

 

Cia Siderurgica Nacional SA

 

1,856,100

 

3,081

Vale SA

 

10,203,900

 

101,387

 

 

 

 

104,468

UTILITIES 0.2%

 

 

 

 

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

 

82,200

 

1,469

CPFL Energia SA

 

131,900

 

872

Engie Brasil Energia SA

 

213,600

 

1,445

 

 

 

 

3,786

Total Brazil

 

 

 

170,726

CHILE 0.8%

 

 

 

 

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Empresas Copec SA

 

65,400

 

451

CONSUMER STAPLES 0.4%

 

 

 

 

Cencosud SA

 

3,114,603

 

9,512

FINANCIALS 0.2%

 

 

 

 

Banco de Chile

 

18,306,500

 

2,421

Banco Santander Chile

 

22,376,327

 

1,273

 

 

 

 

3,694

UTILITIES 0.2%

 

 

 

 

Colbun SA

 

11,863,415

 

1,668

Enel Chile SA

 

28,372,979

 

1,866

 

 

 

 

3,534

Total Chile

 

 

 

17,191

CHINA 29.4%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

China United Network Communications Ltd. 'A'

 

12,740,200

 

9,781

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

CONSUMER DISCRETIONARY 2.6%

 

 

 

 

BAIC Motor Corp. Ltd. 'H'

 

13,569,000

 

3,532

China Yongda Automobiles Services Holdings Ltd.

 

565,000

 

196

Dongfeng Motor Group Co. Ltd. 'H'

 

12,200,000

 

7,455

Huayu Automotive Systems Co. Ltd. 'A'

 

1,074,937

 

2,687

SAIC Motor Corp. Ltd. 'A'

 

752,000

 

1,643

Tianneng Power International Ltd.

 

816,000

 

726

Topsports International Holdings Ltd.

 

7,288,000

 

3,208

Vipshop Holdings Ltd.

 

2,169,797

 

34,022

Zhongsheng Group Holdings Ltd.

 

1,530,000

 

2,694

 

 

 

 

56,163

CONSUMER STAPLES 0.3%

 

 

 

 

Henan Shuanghui Investment & Development Co. Ltd. 'A'

 

201,700

 

750

Hengan International Group Co. Ltd.

 

798,000

 

2,231

Tingyi Cayman Islands Holding Corp.

 

1,774,000

 

2,978

Uni-President China Holdings Ltd.

 

1,220,000

 

1,404

 

 

 

 

7,363

ENERGY 6.2%

 

 

 

 

China Petroleum & Chemical Corp. 'H'

 

156,546,400

 

82,594

PetroChina Co. Ltd. 'H'

 

63,506,000

 

51,488

 

 

 

 

134,082

FINANCIALS 11.6%

 

 

 

 

Bank of China Ltd. 'H'

 

101,133,000

 

61,080

China CITIC Bank Corp. Ltd. 'H'

 

7,681,000

 

6,025

China Construction Bank Corp. 'H'

 

75,223,000

 

66,660

China Minsheng Banking Corp. Ltd. 'H'

 

17,589,000

 

7,931

China Reinsurance Group Corp. 'H' (b)

 

2,763,000

 

342

Lufax Holding Ltd. ADR

 

1,436,117

 

4,265

People's Insurance Co. Group of China Ltd. 'H'

 

5,596,000

 

2,899

PICC Property & Casualty Co. Ltd. 'H'

 

10,298,000

 

19,069

Ping An Insurance Group Co. of China Ltd. 'H'

 

12,876,500

 

76,859

Shanghai Pudong Development Bank Co. Ltd. 'A'

 

2,389,300

 

3,435

 

 

 

 

248,565

HEALTH CARE 0.7%

 

 

 

 

China Resources Pharmaceutical Group Ltd.

 

7,038,000

 

4,575

Sinopharm Group Co. Ltd. 'H'

 

4,839,600

 

11,231

 

 

 

 

15,806

INDUSTRIALS 2.1%

 

 

 

 

China Communications Services Corp. Ltd. 'H'

 

8,888,000

 

4,865

China International Marine Containers Group Co. Ltd. 'H'

 

3,700,700

 

2,710

China Lesso Group Holdings Ltd. 'L'

 

1,656,000

 

746

China State Construction Engineering Corp. Ltd. 'A'

 

4,674,700

 

3,394

China Tower Corp. Ltd. 'H"

 

5,476,800

 

7,378

CITIC Ltd.

 

8,561,000

 

10,566

CRRC Corp. Ltd. 'H'

 

4,745,000

 

2,960

Daqin Railway Co. Ltd. 'A'

 

616,700

 

556

Fosun International Ltd.

 

1,455,000

 

780

Sinopec Engineering Group Co. Ltd. 'H'

 

2,604,500

 

1,845

Sinotrans Ltd. 'H'

 

3,167,000

 

1,531

Sinotruk Hong Kong Ltd.

 

1,698,500

 

4,613

Xiamen ITG Group Corp. Ltd. 'A'

 

2,139,400

 

1,883

Xiamen Xiangyu Co. Ltd. 'A'

 

258,200

 

209

Xinte Energy Co. Ltd. 'H'

 

298,400

 

190

 

 

 

 

44,226

INFORMATION TECHNOLOGY 2.7%

 

 

 

 

AAC Technologies Holdings, Inc.

 

2,565,500

 

15,653

Lenovo Group Ltd.

 

26,204,000

 

35,610

Sunny Optical Technology Group Co. Ltd.

 

619,700

 

5,721

Xinyi Solar Holdings Ltd.

 

3,232,000

 

1,249

 

 

 

 

58,233

MATERIALS 1.9%

 

 

 

 

Angang Steel Co. Ltd. 'H'

 

8,936,000

 

2,007

Anhui Conch Cement Co. Ltd. 'H'

 

3,553,000

 

10,049

Baoshan Iron & Steel Co. Ltd. 'A'

 

2,998,000

 

2,974

China Hongqiao Group Ltd. (d)

 

4,483,500

 

9,275

China National Building Material Co. Ltd. 'H'

 

10,486,000

 

5,412

Jiangxi Copper Co. Ltd. 'H'

 

3,173,000

 

5,583

Luxi Chemical Group Co. Ltd. 'A'

 

650,200

 

1,082

Sinopec Shanghai Petrochemical Co. Ltd. 'H'

 

17,450,000

 

2,714

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

Xinyu Iron & Steel Co. Ltd. 'A'

 

2,283,100

 

1,278

 

 

 

 

40,374

REAL ESTATE 0.7%

 

 

 

 

Agile Group Holdings Ltd. ^(a)(b)

 

10,518,000

 

734

China Vanke Co. Ltd. 'H' (d)

 

6,266,900

 

4,466

CIFI Holdings Group Co. Ltd. (b)(d)

 

27,540,000

 

872

Gemdale Corp. 'A'

 

3,001,500

 

1,869

Longfor Group Holdings Ltd.

 

3,079,500

 

3,897

Seazen Group Ltd.

 

9,826,000

 

2,563

Shui On Land Ltd.

 

10,250,500

 

898

 

 

 

 

15,299

UTILITIES 0.1%

 

 

 

 

ENN Energy Holdings Ltd.

 

377,600

 

3,121

Total China

 

 

 

633,013

GREECE 0.6%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

Hellenic Telecommunications Organization SA

 

418,313

 

6,805

ENERGY 0.1%

 

 

 

 

Helleniq Energy Holdings SA (d)

 

180,133

 

1,491

Motor Oil Hellas Corinth Refineries SA

 

56,485

 

1,353

 

 

 

 

2,844

INDUSTRIALS 0.2%

 

 

 

 

Star Bulk Carriers Corp. (d)

 

250,767

 

3,902

Total Greece

 

 

 

13,551

HONG KONG 2.4%

 

 

 

 

FINANCIALS 0.6%

 

 

 

 

BOC Hong Kong Holdings Ltd.

 

2,284,000

 

9,248

China Taiping Insurance Holdings Co. Ltd.

 

2,742,400

 

4,175

 

 

 

 

13,423

INDUSTRIALS 0.5%

 

 

 

 

China Everbright Environment Group Ltd.

 

6,969,000

 

3,084

China State Construction International Holdings Ltd.

 

754,000

 

976

Orient Overseas International Ltd.

 

216,500

 

3,205

Shanghai Industrial Holdings Ltd.

 

897,000

 

1,344

Shenzhen International Holdings Ltd.

 

2,563,500

 

2,593

 

 

 

 

11,202

MATERIALS 0.0%

 

 

 

 

China Resources Building Materials Technology Holdings Ltd.

 

2,584,000

 

575

UTILITIES 1.3%

 

 

 

 

Beijing Enterprises Holdings Ltd.

 

652,000

 

2,469

Beijing Enterprises Water Group Ltd.

 

7,928,000

 

2,289

China Resources Gas Group Ltd.

 

445,500

 

1,329

China Resources Power Holdings Co. Ltd.

 

2,060,000

 

4,900

Guangdong Investment Ltd.

 

2,918,000

 

2,148

Kunlun Energy Co. Ltd.

 

14,524,000

 

14,192

 

 

 

 

27,327

Total Hong Kong

 

 

 

52,527

INDIA 12.3%

 

 

 

 

COMMUNICATION SERVICES 0.4%

 

 

 

 

Indus Towers Ltd. (b)

 

2,209,854

 

8,593

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Hero MotoCorp Ltd.

 

80,433

 

3,491

Rajesh Exports Ltd.

 

659,874

 

1,426

 

 

 

 

4,917

CONSUMER STAPLES 0.1%

 

 

 

 

ITC Ltd.

 

428,606

 

2,048

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

ENERGY 3.9%

 

 

 

 

Bharat Petroleum Corp. Ltd.

 

2,750,812

 

8,909

Chennai Petroleum Corp. Ltd.

 

72,963

 

523

Coal India Ltd.

 

1,351,580

 

6,266

Great Eastern Shipping Co. Ltd. 'F'

 

92,678

 

1,005

Hindustan Petroleum Corp. Ltd.

 

2,912,205

 

12,190

Indian Oil Corp. Ltd.

 

15,189,986

 

22,514

Oil & Natural Gas Corp. Ltd.

 

7,448,581

 

21,406

Oil India Ltd.

 

1,064,630

 

4,803

Petronet LNG Ltd.

 

1,758,877

 

6,025

 

 

 

 

83,641

FINANCIALS 2.2%

 

 

 

 

General Insurance Corp. of India

 

268,022

 

1,311

Housing & Urban Development Corp. Ltd.

 

1,036,095

 

2,402

Power Finance Corp. Ltd.

 

4,442,169

 

21,374

REC Ltd.

 

1,979,857

 

9,869

Sammaan Capital Ltd.

 

10,817,142

 

13,463

 

 

 

 

48,419

HEALTH CARE 0.1%

 

 

 

 

Glenmark Pharmaceuticals Ltd.

 

129,657

 

2,329

INDUSTRIALS 0.2%

 

 

 

 

Amara Raja Energy & Mobility Ltd.

 

49,663

 

580

Bharat Heavy Electricals Ltd.

 

1,646,888

 

4,136

 

 

 

 

4,716

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

Redington Ltd.

 

532,834

 

1,508

MATERIALS 4.0%

 

 

 

 

Chambal Fertilisers & Chemicals Ltd.

 

353,267

 

2,572

Gujarat State Fertilizers & Chemicals Ltd. 'F'

 

714,928

 

1,476

Jindal Saw Ltd.

 

848,916

 

2,663

Jindal Steel & Power Ltd.

 

555,372

 

5,878

National Aluminium Co. Ltd.

 

10,376,365

 

21,136

Tata Steel Ltd.

 

2,788,378

 

4,981

UPL Ltd.

 

28,956

 

215

Vedanta Ltd.

 

8,619,673

 

46,449

 

 

 

 

85,370

UTILITIES 1.1%

 

 

 

 

GAIL India Ltd.

 

3,927,478

 

8,368

NTPC Ltd.

 

997,609

 

4,148

Power Grid Corp. of India Ltd.

 

927,514

 

3,139

PTC India Ltd.

 

1,640,047

 

3,122

Reliance Infrastructure Ltd. (b)

 

164,575

 

494

Reliance Power Ltd. (b)

 

8,693,295

 

4,335

 

 

 

 

23,606

Total India

 

 

 

265,147

INDONESIA 1.4%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

Telkom Indonesia Persero Tbk PT

 

39,914,800

 

5,797

CONSUMER STAPLES 0.1%

 

 

 

 

Gudang Garam Tbk PT (b)

 

1,158,700

 

712

Hanjaya Mandala Sampoerna Tbk PT

 

19,459,400

 

644

Indofood Sukses Makmur Tbk PT

 

942,200

 

404

 

 

 

 

1,760

ENERGY 0.6%

 

 

 

 

Adaro Energy Indonesia Tbk PT

 

30,618,800

 

3,401

Bukit Asam Tbk PT

 

9,690,300

 

1,473

Indo Tambangraya Megah Tbk PT

 

3,241,800

 

4,493

United Tractors Tbk PT

 

2,935,000

 

4,161

 

 

 

 

13,528

INDUSTRIALS 0.1%

 

 

 

 

Astra International Tbk PT

 

11,105,000

 

3,286

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

MATERIALS 0.1%

 

 

 

 

Aneka Tambang Tbk

 

3,363,200

 

331

Indocement Tunggal Prakarsa Tbk PT

 

2,820,900

 

883

 

 

 

 

1,214

UTILITIES 0.2%

 

 

 

 

Perusahaan Gas Negara Tbk PT

 

43,522,300

 

4,067

Total Indonesia

 

 

 

29,652

KUWAIT 0.1%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Mobile Telecommunications Co. KSCP

 

645,037

 

1,003

Total Kuwait

 

 

 

1,003

MALAYSIA 1.4%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Genting Bhd

 

2,066,200

 

1,519

ENERGY 0.0%

 

 

 

 

Petronas Dagangan Bhd

 

130,700

 

539

FINANCIALS 0.6%

 

 

 

 

Alliance Bank Malaysia Bhd

 

708,000

 

738

CIMB Group Holdings Bhd

 

1,258,800

 

1,994

Malayan Banking Bhd

 

3,239,400

 

7,396

Public Bank Bhd.

 

658,400

 

657

RHB Bank Bhd

 

1,028,100

 

1,585

 

 

 

 

12,370

HEALTH CARE 0.3%

 

 

 

 

Hartalega Holdings Bhd

 

2,805,500

 

1,200

Kossan Rubber Industries Bhd

 

2,345,000

 

922

Supermax Corp. Bhd (b)

 

3,722,280

 

602

Top Glove Corp. Bhd (b)

 

20,547,000

 

3,764

 

 

 

 

6,488

INDUSTRIALS 0.2%

 

 

 

 

Capital A Bhd (b)

 

19,064,100

 

3,532

Sime Darby Bhd

 

3,298,300

 

1,647

 

 

 

 

5,179

REAL ESTATE 0.0%

 

 

 

 

Sime Darby Property Bhd

 

2,118,200

 

644

UTILITIES 0.2%

 

 

 

 

Tenaga Nasional Bhd

 

1,079,800

 

3,262

Total Malaysia

 

 

 

30,001

MEXICO 1.5%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Grupo Televisa SAB

 

1,069,000

 

370

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Nemak SAB de CV (b)

 

3,123,100

 

409

CONSUMER STAPLES 0.3%

 

 

 

 

Arca Continental SAB de CV

 

172,400

 

1,803

Coca-Cola Femsa SAB de CV

 

395,500

 

3,615

Gruma SAB de CV 'B'

 

17,410

 

314

 

 

 

 

5,732

FINANCIALS 0.1%

 

 

 

 

Grupo Financiero Inbursa SAB de CV 'O' (b)

 

1,032,798

 

2,321

INDUSTRIALS 0.4%

 

 

 

 

Alfa SAB de CV 'A'

 

10,194,507

 

7,956

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

MATERIALS 0.7%

 

 

 

 

Alpek SAB de CV (d)

 

1,105,306

 

564

Cemex SAB de CV

 

14,992,658

 

8,462

Grupo Mexico SAB de CV 'B'

 

688,800

 

3,444

Orbia Advance Corp. SAB de CV

 

2,551,600

 

1,945

 

 

 

 

14,415

Total Mexico

 

 

 

31,203

PHILIPPINES 0.3%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

PLDT, Inc.

 

81,990

 

1,820

ENERGY 0.1%

 

 

 

 

Semirara Mining & Power Corp.

 

2,737,300

 

1,686

FINANCIALS 0.0%

 

 

 

 

Metropolitan Bank & Trust Co.

 

167,930

 

215

INDUSTRIALS 0.1%

 

 

 

 

Alliance Global Group, Inc.

 

4,455,700

 

473

DMCI Holdings, Inc.

 

7,951,200

 

1,595

 

 

 

 

2,068

Total Philippines

 

 

 

5,789

POLAND 0.3%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Cyfrowy Polsat SA

 

595,498

 

2,330

FINANCIALS 0.1%

 

 

 

 

Powszechny Zaklad Ubezpieczen SA

 

171,652

 

2,494

UTILITIES 0.1%

 

 

 

 

PGE Polska Grupa Energetyczna SA (b)

 

500,662

 

1,030

Total Poland

 

 

 

5,854

QATAR 0.1%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Ooredoo QPSC

 

243,024

 

788

FINANCIALS 0.1%

 

 

 

 

Commercial Bank PSQC

 

456,010

 

523

Qatar Islamic Bank QPSC

 

76,577

 

432

Qatar National Bank QPSC

 

182,998

 

806

 

 

 

 

1,761

Total Qatar

 

 

 

2,549

RUSSIA 0.0%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Mobile TeleSystems PJSC «(d)

 

290,070

 

0

Rostelecom PJSC «(d)

 

341,490

 

0

Sistema AFK PAO «

 

1,963,160

 

0

 

 

 

 

0

ENERGY 0.0%

 

 

 

 

Gazprom PJSC «(b)

 

3,725,600

 

0

LUKOIL PJSC «

 

254,140

 

0

 

 

 

 

0

FINANCIALS 0.0%

 

 

 

 

Sberbank of Russia PJSC «

 

4,916,745

 

0

VTB Bank PJSC «(b)

 

4,772,723

 

0

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

VTB Bank PJSC «(b)

 

1

 

0

 

 

 

 

0

MATERIALS 0.0%

 

 

 

 

Alrosa PJSC «

 

2,122,120

 

0

GMK Norilskiy Nickel PAO «(b)

 

379,700

 

0

Magnitogorsk Iron & Steel Works PJSC «

 

6,974,129

 

0

Novolipetsk Steel PJSC «

 

3,113,725

 

0

Severstal PAO «

 

339,609

 

0

 

 

 

 

0

UTILITIES 0.0%

 

 

 

 

Federal Grid Co. - Rosseti PJSC «(b)

 

591,291,707

 

1

Inter RAO UES PJSC «

 

15,264,000

 

0

Unipro PJSC «(b)

 

3,938,000

 

0

 

 

 

 

1

Total Russia

 

 

 

1

SAUDI ARABIA 0.8%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Saudi Telecom Co.

 

310,327

 

3,752

FINANCIALS 0.1%

 

 

 

 

Arab National Bank

 

103,732

 

636

Banque Saudi Fransi (b)

 

353,732

 

1,748

 

 

 

 

2,384

MATERIALS 0.4%

 

 

 

 

Sahara International Petrochemical Co.

 

263,299

 

1,458

Saudi Basic Industries Corp.

 

324,012

 

5,502

Yanbu National Petrochemical Co.

 

155,374

 

1,433

 

 

 

 

8,393

UTILITIES 0.1%

 

 

 

 

Saudi Electricity Co.

 

497,877

 

2,114

Total Saudi Arabia

 

 

 

16,643

SOUTH AFRICA 4.7%

 

 

 

 

COMMUNICATION SERVICES 0.8%

 

 

 

 

MTN Group Ltd.

 

1,714,399

 

11,522

MultiChoice Group

 

201,773

 

1,208

Telkom SA SOC Ltd. (b)

 

1,659,224

 

3,360

 

 

 

 

16,090

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Motus Holdings Ltd.

 

502,365

 

2,403

Woolworths Holdings Ltd. (d)

 

270,270

 

752

 

 

 

 

3,155

CONSUMER STAPLES 0.3%

 

 

 

 

SPAR Group Ltd. (b)

 

213,458

 

1,376

Tiger Brands Ltd.

 

338,478

 

5,130

 

 

 

 

6,506

ENERGY 0.1%

 

 

 

 

Exxaro Resources Ltd. (d)

 

269,922

 

2,186

FINANCIALS 1.8%

 

 

 

 

Absa Group Ltd.

 

454,542

 

4,388

FirstRand Ltd.

 

889,741

 

3,496

Investec Ltd.

 

170,085

 

1,062

Momentum Group Ltd.

 

2,446,244

 

4,164

Nedbank Group Ltd.

 

974,789

 

13,677

Old Mutual Ltd.

 

6,389,960

 

4,147

Standard Bank Group Ltd.

 

636,620

 

8,318

 

 

 

 

39,252

HEALTH CARE 0.1%

 

 

 

 

Life Healthcare Group Holdings Ltd.

 

2,394,736

 

1,806

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

INDUSTRIALS 0.1%

 

 

 

 

Barloworld Ltd.

 

442,112

 

2,541

MATERIALS 1.4%

 

 

 

 

African Rainbow Minerals Ltd.

 

127,767

 

1,021

Anglo American Platinum Ltd. (d)

 

124,323

 

5,000

Impala Platinum Holdings Ltd.

 

1,002,319

 

6,900

Kumba Iron Ore Ltd.

 

95,006

 

1,617

Sappi Ltd.

 

495,151

 

982

Sibanye Stillwater Ltd.

 

12,392,959

 

14,139

 

 

 

 

29,659

Total South Africa

 

 

 

101,195

SOUTH KOREA 12.0%

 

 

 

 

COMMUNICATION SERVICES 1.9%

 

 

 

 

KT Corp.

 

861,623

 

29,020

LG Uplus Corp.

 

646,863

 

4,527

NCSoft Corp.

 

18,100

 

1,844

SK Telecom Co. Ltd.

 

160,859

 

6,059

 

 

 

 

41,450

CONSUMER DISCRETIONARY 1.9%

 

 

 

 

Coway Co. Ltd.

 

12,031

 

663

Hankook Tire & Technology Co. Ltd.

 

68,023

 

1,831

HL Mando Co. Ltd.

 

51,417

 

1,364

Hyundai Mobis Co. Ltd.

 

15,212

 

2,707

Hyundai Wia Corp.

 

37,858

 

1,144

Kia Corp.

 

235,120

 

14,871

LG Electronics, Inc.

 

266,400

 

14,052

Lotte Shopping Co. Ltd.

 

56,718

 

2,342

Shinsegae, Inc.

 

18,792

 

1,752

 

 

 

 

40,726

CONSUMER STAPLES 0.8%

 

 

 

 

Amorepacific Corp.

 

14,739

 

1,021

Amorepacific Group

 

76,138

 

1,040

E-MART, Inc.

 

5,468

 

302

KT&G Corp.

 

138,589

 

9,532

LG H&H Co. Ltd.

 

20,821

 

4,436

 

 

 

 

16,331

ENERGY 0.1%

 

 

 

 

S-Oil Corp.

 

55,797

 

2,130

FINANCIALS 2.6%

 

 

 

 

BNK Financial Group, Inc.

 

265,740

 

1,864

DB Insurance Co. Ltd.

 

75,081

 

4,536

Hanwha Life Insurance Co. Ltd.

 

2,013,361

 

3,498

Hyundai Marine & Fire Insurance Co. Ltd.

 

227,306

 

3,386

KB Financial Group, Inc.

 

168,903

 

9,155

Samsung Card Co. Ltd.

 

87,307

 

2,388

Samsung Fire & Marine Insurance Co. Ltd.

 

37,530

 

9,159

Samsung Life Insurance Co. Ltd.

 

27,793

 

1,571

Samsung Securities Co. Ltd.

 

10,526

 

326

Shinhan Financial Group Co. Ltd.

 

463,214

 

14,824

Woori Financial Group, Inc.

 

552,231

 

6,236

 

 

 

 

56,943

INDUSTRIALS 2.8%

 

 

 

 

CJ Corp.

 

97,878

 

7,785

CJ Logistics Corp.

 

16,448

 

967

Daewoo Engineering & Construction Co. Ltd. (b)

 

788,700

 

1,696

DL E&C Co. Ltd.

 

94,982

 

2,699

Doosan Bobcat, Inc.

 

31,148

 

1,064

Doosan Co. Ltd.

 

30,700

 

6,176

GS Engineering & Construction Corp.

 

205,072

 

2,376

GS Holdings Corp.

 

73,554

 

1,845

Hanwha Corp.

 

291,753

 

8,175

HMM Co. Ltd.

 

101,467

 

1,355

Hyundai Engineering & Construction Co. Ltd.

 

426,875

 

10,488

Hyundai Glovis Co. Ltd.

 

122,197

 

9,395

LX International Corp.

 

196,764

 

3,389

SK Networks Co. Ltd.

 

447,449

 

1,240

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

SK, Inc.

 

26,729

 

2,366

 

 

 

 

61,016

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

LG Display Co. Ltd.

 

905,282

 

5,456

MATERIALS 1.1%

 

 

 

 

Hyundai Steel Co.

 

98,392

 

1,679

Kumho Petrochemical Co. Ltd.

 

26,722

 

2,207

Posco Holdings, Inc.

 

108,518

 

20,695

 

 

 

 

24,581

UTILITIES 0.5%

 

 

 

 

Korea Electric Power Corp.

 

629,078

 

9,284

Korea Gas Corp.

 

43,288

 

1,055

 

 

 

 

10,339

Total South Korea

 

 

 

258,972

TAIWAN 9.3%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

Chunghwa Telecom Co. Ltd.

 

948,000

 

3,683

Far EasTone Telecommunications Co. Ltd.

 

555,000

 

1,546

Taiwan Mobile Co. Ltd.

 

373,000

 

1,313

 

 

 

 

6,542

CONSUMER DISCRETIONARY 0.5%

 

 

 

 

Cheng Shin Rubber Industry Co. Ltd.

 

1,518,000

 

2,307

China Motor Corp.

 

1,015,000

 

2,232

Pou Chen Corp.

 

5,759,000

 

6,175

 

 

 

 

10,714

CONSUMER STAPLES 0.1%

 

 

 

 

Uni-President Enterprises Corp.

 

680,000

 

1,658

INDUSTRIALS 5.2%

 

 

 

 

Evergreen Marine Corp. Taiwan Ltd.

 

10,347,000

 

69,373

Far Eastern New Century Corp.

 

1,941,000

 

1,938

Wan Hai Lines Ltd.

 

2,943,000

 

7,013

Yang Ming Marine Transport Corp.

 

14,993,000

 

33,918

 

 

 

 

112,242

INFORMATION TECHNOLOGY 3.2%

 

 

 

 

Asustek Computer, Inc.

 

33,337

 

620

AUO Corp.

 

1,814,000

 

743

Catcher Technology Co. Ltd.

 

1,214,000

 

7,735

Chicony Electronics Co. Ltd.

 

232,771

 

1,191

Compal Electronics, Inc.

 

16,862,000

 

16,390

FLEXium Interconnect, Inc.

 

736,000

 

1,350

General Interface Solution Holding Ltd.

 

590,871

 

845

Innolux Corp.

 

7,639,800

 

3,514

Micro-Star International Co. Ltd.

 

339,000

 

1,674

Novatek Microelectronics Corp.

 

271,000

 

4,505

Pegatron Corp.

 

6,237,000

 

15,940

Powertech Technology, Inc.

 

979,000

 

3,668

Primax Electronics Ltd.

 

1,085,000

 

2,732

Radiant Opto-Electronics Corp.

 

957,000

 

5,234

Silicon Motion Technology Corp.

 

9,014

 

456

Supreme Electronics Co. Ltd.

 

653,000

 

1,081

TPK Holding Co. Ltd. (b)

 

557,000

 

591

 

 

 

 

68,269

MATERIALS 0.0%

 

 

 

 

Tung Ho Steel Enterprise Corp.

 

280,000

 

603

REAL ESTATE 0.0%

 

 

 

 

Farglory Land Development Co. Ltd.

 

303,000

 

634

Total Taiwan

 

 

 

200,662

THAILAND 6.5%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Advanced Info Service PCL

 

209,400

 

1,703

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

Jasmine International PCL (b)

 

29,655,423

 

1,326

 

 

 

 

3,029

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Sri Trang Agro-Industry PCL

 

5,301,300

 

2,260

CONSUMER STAPLES 0.2%

 

 

 

 

Charoen Pokphand Foods PCL

 

5,514,200

 

3,880

ENERGY 0.9%

 

 

 

 

Bangchak Corp. PCL

 

541,200

 

609

Banpu PCL

 

3,454,100

 

422

IRPC PCL

 

34,918,800

 

941

PTT PCL

 

14,782,600

 

13,961

Star Petroleum Refining PCL

 

17,759,800

 

2,840

 

 

 

 

18,773

FINANCIALS 4.7%

 

 

 

 

Bangkok Bank PCL

 

1,649,800

 

7,190

Kasikornbank PCL

 

5,344,100

 

25,534

Krung Thai Bank PCL

 

10,246,300

 

7,306

SCB X PCL

 

11,118,800

 

40,410

Thai Life Insurance PCL

 

6,238,500

 

2,103

Thanachart Capital PCL

 

8,390,804

 

12,325

Tisco Financial Group PCL

 

2,271,400

 

6,632

 

 

 

 

101,500

HEALTH CARE 0.0%

 

 

 

 

Sri Trang Gloves Thailand PCL

 

2,263,700

 

477

INDUSTRIALS 0.1%

 

 

 

 

Regional Container Lines PCL

 

2,252,500

 

1,567

MATERIALS 0.2%

 

 

 

 

Indorama Ventures PCL

 

2,498,500

 

1,444

PTT Global Chemical PCL

 

4,312,700

 

2,199

Siam City Cement PCL

 

126,300

 

592

 

 

 

 

4,235

REAL ESTATE 0.2%

 

 

 

 

3BB Internet Infrastructure Fund

 

3,228,800

 

544

Land & Houses PCL

 

14,446,200

 

1,814

Supalai PCL

 

1,877,800

 

887

 

 

 

 

3,245

Total Thailand

 

 

 

138,966

TURKEY 0.5%

 

 

 

 

FINANCIALS 0.4%

 

 

 

 

Is Yatirim Menkul Degerler AS 'A'

 

8,224,152

 

8,725

INDUSTRIALS 0.1%

 

 

 

 

AG Anadolu Grubu Holding AS

 

148,774

 

1,158

Total Turkey

 

 

 

9,883

UNITED ARAB EMIRATES 0.2%

 

 

 

 

FINANCIALS 0.2%

 

 

 

 

Abu Dhabi Commercial Bank PJSC

 

299,819

 

889

Dubai Islamic Bank PJSC

 

1,028,730

 

2,002

Emirates NBD Bank PJSC

 

302,905

 

1,666

 

 

 

 

4,557

Total United Arab Emirates

 

 

 

4,557

Total Common Stocks (Cost $1,814,607)

 

 

 

1,989,085

PREFERRED STOCKS 6.6%

 

 

 

 

BRAZIL 6.5%

 

 

 

 

BANKING & FINANCE 0.1%

 

 

 

 

Banco Bradesco SA

 

431,600

 

958

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

INDUSTRIALS 1.1%

 

 

 

 

Braskem SA

 

1,040,000

 

2,005

Gerdau SA

 

5,538,700

 

15,704

Metalurgica Gerdau SA

 

3,471,900

 

5,445

Usinas Siderurgicas de Minas Gerais SA Usiminas

 

1,232,400

 

1,227

 

 

 

 

24,381

UTILITIES 5.3%

 

 

 

 

Cia Energetica de Minas Gerais ~

 

5,891,870

 

10,593

Cia Paranaense de Energia - Copel

 

4,030,000

 

7,352

Petroleo Brasileiro SA

 

14,665,500

 

95,501

 

 

 

 

113,446

Total Brazil

 

 

 

138,785

CHILE 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Embotelladora Andina SA

 

707,320

 

2,646

Total Chile

 

 

 

2,646

RUSSIA 0.0%

 

 

 

 

UTILITIES 0.0%

 

 

 

 

Bashneft PJSC

 

31,237

 

0

Transneft PJSC

 

81,000

 

0

 

 

 

 

0

Total Russia

 

 

 

0

Total Preferred Stocks (Cost $154,816)

 

 

 

141,431

REAL ESTATE INVESTMENT TRUSTS 0.3%

 

 

 

 

MEXICO 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Fibra Uno Administracion SA de CV

 

944,900

 

1,104

Total Mexico

 

 

 

1,104

SOUTH AFRICA 0.2%

 

 

 

 

REAL ESTATE 0.2%

 

 

 

 

Growthpoint Properties Ltd.

 

6,991,418

 

4,951

Redefine Properties Ltd.

 

3,894,988

 

890

 

 

 

 

5,841

Total South Africa

 

 

 

5,841

Total Real Estate Investment Trusts (Cost $6,754)

 

 

 

6,945

SHORT-TERM INSTRUMENTS 0.1%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (e)

 

989,363

 

990

Total Mutual Funds (Cost $990)

 

 

 

990

Total Short-Term Instruments (Cost $990)

 

 

 

990

Total Investments in Securities (Cost $1,977,167)

 

 

 

2,138,451

INVESTMENTS IN AFFILIATES 1.4%

 

 

 

 

SHORT-TERM INSTRUMENTS 1.4%

 

 

 

 

MUTUAL FUNDS 0.9%

 

 

 

 

PIMCO Government Money Market Fund 4.470% (c)(d)(e)

 

19,412,180

 

19,412

Total Mutual Funds (Cost $19,412)

 

 

 

19,412

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 0.5%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

1,123,393

 

10,935

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total Short-Term Instruments (Cost $30,349)

 

 

 

30,347

Total Investments in Affiliates (Cost $30,349)

 

 

 

30,347

Total Investments 100.9% (Cost $2,007,516)

 

 

$

2,168,798

Other Assets and Liabilities, net (0.9)%

 

 

 

(18,663)

Net Assets 100.0%

 

 

$

2,150,135

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

^

Security is in default.

«

Security valued using significant unobservable inputs (Level 3).

~

Variable or Floating rate security. Rate shown is the rate in effect as of period end. Certain variable rate securities are not based on a published reference rate and spread, rather are determined by the issuer or agent and are based on current market conditions. Reference rate is as of reset date, which may vary by security. These securities may not indicate a reference rate and/or spread in their description.

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

(a)

Security is not accruing income as of the date of this report.

(b)

Security did not produce income within the last twelve months.

(c)

Institutional Class Shares of each Fund.

(d)

Securities with an aggregate market value of $17,852 were out on loan in exchange for $19,401 of cash collateral as of March 31, 2025. The collateral was invested in a cash collateral reinvestment vehicle as described in Note 5 in the Notes to Financial Statements.

(e)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Brazil

 

Communication Services

$

3,331

$

0

$

0

$

3,331

 

 

Consumer Discretionary

 

8,597

 

0

 

0

 

8,597

 

 

Consumer Staples

 

28,211

 

0

 

0

 

28,211

 

 

Financials

 

21,431

 

0

 

0

 

21,431

 

 

Industrials

 

902

 

0

 

0

 

902

 

 

Materials

 

104,468

 

0

 

0

 

104,468

 

 

Utilities

 

3,786

 

0

 

0

 

3,786

 

 

Chile

 

Consumer Discretionary

 

0

 

451

 

0

 

451

 

 

Consumer Staples

 

9,512

 

0

 

0

 

9,512

 

 

Financials

 

0

 

3,694

 

0

 

3,694

 

 

Utilities

 

3,534

 

0

 

0

 

3,534

 

 

China

 

Communication Services

 

0

 

9,781

 

0

 

9,781

 

 

Consumer Discretionary

 

34,022

 

22,141

 

0

 

56,163

 

 

Consumer Staples

 

0

 

7,363

 

0

 

7,363

 

 

Energy

 

0

 

134,082

 

0

 

134,082

 

 

Financials

 

4,265

 

244,300

 

0

 

248,565

 

 

Health Care

 

0

 

15,806

 

0

 

15,806

 

 

Industrials

 

0

 

44,226

 

0

 

44,226

 

 

Information Technology

 

0

 

58,233

 

0

 

58,233

 

 

Materials

 

0

 

40,374

 

0

 

40,374

 

 

Real Estate

 

0

 

15,299

 

0

 

15,299

 

 

Utilities

 

0

 

3,121

 

0

 

3,121

 

 

Greece

 

Communication Services

 

0

 

6,805

 

0

 

6,805

 

 

Energy

 

0

 

2,844

 

0

 

2,844

 

 

Industrials

 

3,902

 

0

 

0

 

3,902

 

 

Hong Kong

 

Financials

 

0

 

13,423

 

0

 

13,423

 

 

Industrials

 

0

 

11,202

 

0

 

11,202

 

 

Materials

 

0

 

575

 

0

 

575

 

 

Utilities

 

0

 

27,327

 

0

 

27,327

 

 

India

 

Communication Services

 

0

 

8,593

 

0

 

8,593

 

 

Consumer Discretionary

 

0

 

4,917

 

0

 

4,917

 

 

Consumer Staples

 

0

 

2,048

 

0

 

2,048

 

 

Energy

 

0

 

83,641

 

0

 

83,641

 

 

Financials

 

0

 

48,419

 

0

 

48,419

 

 

Health Care

 

0

 

2,329

 

0

 

2,329

 

 

Industrials

 

0

 

4,716

 

0

 

4,716

 

 

Information Technology

 

0

 

1,508

 

0

 

1,508

 

 

Materials

 

0

 

85,370

 

0

 

85,370

 

 

Utilities

 

0

 

23,606

 

0

 

23,606

 

 

Indonesia

 

Communication Services

 

0

 

5,797

 

0

 

5,797

 

 

Consumer Staples

 

0

 

1,760

 

0

 

1,760

 

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Energy

 

4,493

 

9,035

 

0

 

13,528

 

 

Industrials

 

0

 

3,286

 

0

 

3,286

 

 

Materials

 

0

 

1,214

 

0

 

1,214

 

 

Utilities

 

0

 

4,067

 

0

 

4,067

 

 

Kuwait

 

Communication Services

 

0

 

1,003

 

0

 

1,003

 

 

Malaysia

 

Consumer Discretionary

 

0

 

1,519

 

0

 

1,519

 

 

Energy

 

0

 

539

 

0

 

539

 

 

Financials

 

1,585

 

10,785

 

0

 

12,370

 

 

Health Care

 

0

 

6,488

 

0

 

6,488

 

 

Industrials

 

0

 

5,179

 

0

 

5,179

 

 

Real Estate

 

0

 

644

 

0

 

644

 

 

Utilities

 

0

 

3,262

 

0

 

3,262

 

 

Mexico

 

Communication Services

 

370

 

0

 

0

 

370

 

 

Consumer Discretionary

 

409

 

0

 

0

 

409

 

 

Consumer Staples

 

5,732

 

0

 

0

 

5,732

 

 

Financials

 

2,321

 

0

 

0

 

2,321

 

 

Industrials

 

7,956

 

0

 

0

 

7,956

 

 

Materials

 

14,415

 

0

 

0

 

14,415

 

 

Philippines

 

Communication Services

 

0

 

1,820

 

0

 

1,820

 

 

Energy

 

1,686

 

0

 

0

 

1,686

 

 

Financials

 

0

 

215

 

0

 

215

 

 

Industrials

 

2,068

 

0

 

0

 

2,068

 

 

Poland

 

Communication Services

 

0

 

2,330

 

0

 

2,330

 

 

Financials

 

0

 

2,494

 

0

 

2,494

 

 

Utilities

 

0

 

1,030

 

0

 

1,030

 

 

Qatar

 

Communication Services

 

788

 

0

 

0

 

788

 

 

Financials

 

0

 

1,761

 

0

 

1,761

 

 

Russia

 

Utilities

 

0

 

0

 

1

 

1

 

 

Saudi Arabia

 

Communication Services

 

3,752

 

0

 

0

 

3,752

 

 

Financials

 

0

 

2,384

 

0

 

2,384

 

 

Materials

 

5,502

 

2,891

 

0

 

8,393

 

 

Utilities

 

0

 

2,114

 

0

 

2,114

 

 

South Africa

 

Communication Services

 

16,090

 

0

 

0

 

16,090

 

 

Consumer Discretionary

 

752

 

2,403

 

0

 

3,155

 

 

Consumer Staples

 

6,506

 

0

 

0

 

6,506

 

 

Energy

 

0

 

2,186

 

0

 

2,186

 

 

Financials

 

26,376

 

12,876

 

0

 

39,252

 

 

Health Care

 

1,806

 

0

 

0

 

1,806

 

 

Industrials

 

0

 

2,541

 

0

 

2,541

 

 

Materials

 

1,617

 

28,042

 

0

 

29,659

 

 

South Korea

 

Communication Services

 

0

 

41,450

 

0

 

41,450

 

 

Consumer Discretionary

 

0

 

40,726

 

0

 

40,726

 

 

Consumer Staples

 

0

 

16,331

 

0

 

16,331

 

 

Energy

 

0

 

2,130

 

0

 

2,130

 

 

Financials

 

0

 

56,943

 

0

 

56,943

 

 

Industrials

 

0

 

61,016

 

0

 

61,016

 

 

Information Technology

 

0

 

5,456

 

0

 

5,456

 

 

Materials

 

0

 

24,581

 

0

 

24,581

 

 

Utilities

 

0

 

10,339

 

0

 

10,339

 

 

Taiwan

 

Communication Services

 

0

 

6,542

 

0

 

6,542

 

 

Consumer Discretionary

 

0

 

10,714

 

0

 

10,714

 

 

Consumer Staples

 

0

 

1,658

 

0

 

1,658

 

 

Industrials

 

0

 

112,242

 

0

 

112,242

 

 

Information Technology

 

456

 

67,813

 

0

 

68,269

 

 

Materials

 

0

 

603

 

0

 

603

 

 

Real Estate

 

0

 

634

 

0

 

634

 

 

Thailand

 

Communication Services

 

0

 

3,029

 

0

 

3,029

 

 

Consumer Discretionary

 

0

 

2,260

 

0

 

2,260

 

 

Consumer Staples

 

0

 

3,880

 

0

 

3,880

 

 

Energy

 

0

 

18,773

 

0

 

18,773

 

 

Financials

 

0

 

101,500

 

0

 

101,500

 

 

Health Care

 

0

 

477

 

0

 

477

 

 

Industrials

 

0

 

1,567

 

0

 

1,567

 

 

Materials

 

592

 

3,643

 

0

 

4,235

 

 

Real Estate

 

0

 

3,245

 

0

 

3,245

 

 

Turkey

 

Financials

 

8,725

 

0

 

0

 

8,725

 

 

Industrials

 

1,158

 

0

 

0

 

1,158

 

 

United Arab Emirates

 

Financials

 

1,666

 

2,891

 

0

 

4,557

 

Preferred Stocks

 

Brazil

 

Banking & Finance

 

958

 

0

 

0

 

958

 

 

Industrials

 

24,381

 

0

 

0

 

24,381

 

Schedule of Investments PIMCO RAE Emerging Markets Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Utilities

 

113,446

 

0

 

0

 

113,446

 

 

Chile

 

Industrials

 

0

 

2,646

 

0

 

2,646

 

Real Estate Investment Trusts

 

Mexico

 

Real Estate

 

1,104

 

0

 

0

 

1,104

 

 

South Africa

 

Real Estate

 

0

 

5,841

 

0

 

5,841

 

Short-Term Instruments

 

Mutual Funds

 

0

 

990

 

0

 

990

 

 

$

482,671

$

1,655,779

$

1

$

2,138,451

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Mutual Funds

 

19,412

 

0

 

0

 

19,412

 

 

Central Funds Used for Cash Management Purposes

 

10,935

 

0

 

0

 

10,935

 

Total Investments

$

513,018

$

1,655,779

$

1

$

2,168,798

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAE Global ex-US Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 0.0% ¤

 

 

 

 

SHORT-TERM INSTRUMENTS 0.0%

 

 

 

 

MUTUAL FUNDS 0.0%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (b)

 

45,130

$

45

Total Short-Term Instruments (Cost $45)

 

 

 

45

Total Investments in Securities (Cost $45)

 

 

 

45

INVESTMENTS IN AFFILIATES 99.9%

 

 

 

 

MUTUAL FUNDS (a) 99.9%

 

 

 

 

UNITED STATES 99.9%

 

 

 

 

PIMCO RAE Emerging Markets Fund

 

2,675,737

 

27,854

PIMCO RAE International Fund

 

9,776,554

 

78,017

Total Mutual Funds (Cost $104,802)

 

 

 

105,871

Total Investments in Affiliates (Cost $104,802)

 

 

 

105,871

Total Investments 99.9% (Cost $104,847)

 

 

$

105,916

Other Assets and Liabilities, net 0.1%

 

 

 

112

Net Assets 100.0%

 

 

$

106,028

Schedule of Investments PIMCO RAE Global ex-US Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Institutional Class Shares of each Fund.

(b)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Short-Term Instruments

 

Mutual Funds

$

0

$

45

$

0

$

45

 

 

$

0

$

45

$

0

$

45

 

Investments in Affiliates, at Value

Mutual Funds

 

United States

 

105,871

 

0

 

0

 

105,871

 

Total Investments

$

105,871

$

45

$

0

$

105,916

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

    

Schedule of Investments PIMCO RAE International Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 98.5% ¤

 

 

 

 

COMMON STOCKS 94.6%

 

 

 

 

AUSTRALIA 3.4%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Telstra Group Ltd.

 

299,760

$

792

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

JB Hi-Fi Ltd.

 

15,140

 

885

CONSUMER STAPLES 0.0%

 

 

 

 

Metcash Ltd.

 

82,872

 

165

ENERGY 0.0%

 

 

 

 

Viva Energy Group Ltd.

 

130,692

 

140

FINANCIALS 0.4%

 

 

 

 

Suncorp Group Ltd.

 

166,050

 

2,011

INDUSTRIALS 0.4%

 

 

 

 

Aurizon Holdings Ltd.

 

455,735

 

886

Brambles Ltd.

 

32,709

 

413

Downer EDI Ltd.

 

193,511

 

660

 

 

 

 

1,959

MATERIALS 1.0%

 

 

 

 

Rio Tinto Ltd.

 

63,741

 

4,625

Sims Ltd.

 

18,075

 

167

 

 

 

 

4,792

UTILITIES 1.2%

 

 

 

 

AGL Energy Ltd.

 

845,606

 

5,582

Total Australia

 

 

 

16,326

AUSTRIA 0.6%

 

 

 

 

INDUSTRIALS 0.0%

 

 

 

 

Strabag SE

 

2,287

 

163

MATERIALS 0.6%

 

 

 

 

voestalpine AG

 

84,883

 

2,077

Wienerberger AG

 

19,765

 

659

 

 

 

 

2,736

Total Austria

 

 

 

2,899

BELGIUM 1.1%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Proximus SADP

 

147,908

 

1,093

CONSUMER STAPLES 0.1%

 

 

 

 

Colruyt Group NV

 

7,871

 

324

FINANCIALS 0.7%

 

 

 

 

Ageas SA

 

51,928

 

3,113

HEALTH CARE 0.1%

 

 

 

 

UCB SA

 

1,773

 

312

INDUSTRIALS 0.0%

 

 

 

 

bpost SA

 

93,786

 

147

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

MATERIALS 0.0%

 

 

 

 

Bekaert SA

 

5,234

 

188

Total Belgium

 

 

 

5,177

CANADA 7.3%

 

 

 

 

CONSUMER DISCRETIONARY 1.7%

 

 

 

 

Canadian Tire Corp. Ltd. 'A'

 

2,951

 

307

Magna International, Inc.

 

227,467

 

7,731

 

 

 

 

8,038

CONSUMER STAPLES 0.3%

 

 

 

 

Empire Co. Ltd. 'A'

 

10,900

 

365

George Weston Ltd.

 

3,661

 

624

Loblaw Cos., Ltd.

 

4,000

 

561

 

 

 

 

1,550

ENERGY 2.4%

 

 

 

 

Imperial Oil Ltd.

 

10,900

 

787

Suncor Energy, Inc.

 

282,841

 

10,952

 

 

 

 

11,739

FINANCIALS 1.1%

 

 

 

 

Bank of Nova Scotia (c)

 

19,500

 

925

CI Financial Corp. (c)

 

93,251

 

2,020

IGM Financial, Inc.

 

10,600

 

326

Manulife Financial Corp.

 

32,000

 

997

Onex Corp.

 

12,410

 

831

Sun Life Financial, Inc.

 

7,153

 

409

 

 

 

 

5,508

HEALTH CARE 0.1%

 

 

 

 

Bausch Health Cos., Inc. (a)

 

44,300

 

287

INDUSTRIALS 0.1%

 

 

 

 

Finning International, Inc.

 

17,100

 

481

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

CGI, Inc.

 

3,700

 

369

MATERIALS 1.2%

 

 

 

 

Canfor Corp. (a)

 

19,300

 

203

Nutrien Ltd. (c)

 

67,800

 

3,365

West Fraser Timber Co. Ltd.

 

28,100

 

2,158

 

 

 

 

5,726

UTILITIES 0.3%

 

 

 

 

Atco Ltd. 'I'

 

40,781

 

1,420

Total Canada

 

 

 

35,118

DENMARK 2.6%

 

 

 

 

HEALTH CARE 0.1%

 

 

 

 

H Lundbeck AS

 

137,534

 

693

H Lundbeck AS 'A'

 

315

 

1

 

 

 

 

694

INDUSTRIALS 2.5%

 

 

 

 

AP Moller - Maersk AS 'B'

 

6,742

 

11,734

D/S Norden AS

 

13,194

 

333

 

 

 

 

12,067

Total Denmark

 

 

 

12,761

FINLAND 2.3%

 

 

 

 

CONSUMER STAPLES 0.2%

 

 

 

 

Kesko Oyj 'B'

 

52,160

 

1,066

FINANCIALS 0.5%

 

 

 

 

Sampo Oyj 'A'

 

224,785

 

2,154

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

INDUSTRIALS 0.2%

 

 

 

 

Kone Oyj 'B'

 

19,140

 

1,056

INFORMATION TECHNOLOGY 0.8%

 

 

 

 

Nokia Oyj

 

726,003

 

3,824

MATERIALS 0.2%

 

 

 

 

Outokumpu Oyj

 

312,600

 

1,179

UTILITIES 0.4%

 

 

 

 

Fortum Oyj

 

121,407

 

1,988

Total Finland

 

 

 

11,267

FRANCE 4.4%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Orange SA

 

74,964

 

971

CONSUMER DISCRETIONARY 1.4%

 

 

 

 

Cie Generale des Etablissements Michelin SCA

 

39,722

 

1,396

Renault SA

 

69,185

 

3,505

Valeo SE

 

213,653

 

2,006

 

 

 

 

6,907

CONSUMER STAPLES 0.1%

 

 

 

 

Carrefour SA

 

26,025

 

372

FINANCIALS 0.3%

 

 

 

 

Amundi SA

 

2,578

 

202

AXA SA

 

27,375

 

1,170

 

 

 

 

1,372

HEALTH CARE 1.8%

 

 

 

 

Sanofi SA

 

79,617

 

8,815

INDUSTRIALS 0.6%

 

 

 

 

Cie de Saint-Gobain SA

 

28,921

 

2,881

Total France

 

 

 

21,318

GERMANY 6.9%

 

 

 

 

CONSUMER DISCRETIONARY 1.1%

 

 

 

 

Bayerische Motoren Werke AG

 

30,281

 

2,442

Mercedes-Benz Group AG

 

52,630

 

3,109

 

 

 

 

5,551

HEALTH CARE 1.4%

 

 

 

 

Bayer AG

 

127,109

 

3,047

BioNTech SE (a)

 

17,502

 

1,594

Fresenius Medical Care AG

 

7,405

 

368

Fresenius SE & Co. KGaA

 

41,915

 

1,790

 

 

 

 

6,799

INDUSTRIALS 0.0%

 

 

 

 

Hapag-Lloyd AG

 

1,145

 

173

MATERIALS 4.4%

 

 

 

 

Aurubis AG

 

11,729

 

1,113

BASF SE

 

239,985

 

12,030

Heidelberg Materials AG

 

45,916

 

7,915

 

 

 

 

21,058

Total Germany

 

 

 

33,581

HONG KONG 3.0%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

PCCW Ltd.

 

307,000

 

191

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Skyworth Group Ltd.

 

1,362,215

 

496

Yue Yuen Industrial Holdings Ltd.

 

396,500

 

637

 

 

 

 

1,133

CONSUMER STAPLES 0.7%

 

 

 

 

First Pacific Co. Ltd.

 

228,000

 

138

WH Group Ltd.

 

3,572,000

 

3,280

 

 

 

 

3,418

INDUSTRIALS 0.8%

 

 

 

 

CTF Services Ltd.

 

102,000

 

94

Hutchison Port Holdings Trust

 

2,422,500

 

407

Jardine Matheson Holdings Ltd.

 

20,700

 

874

SITC International Holdings Co. Ltd.

 

234,000

 

636

Swire Pacific Ltd. 'A'

 

203,000

 

1,790

Xinyi Glass Holdings Ltd.

 

122,000

 

121

 

 

 

 

3,922

INFORMATION TECHNOLOGY 0.4%

 

 

 

 

Kingboard Holdings Ltd.

 

312,500

 

893

Kingboard Laminates Holdings Ltd.

 

700,500

 

809

 

 

 

 

1,702

REAL ESTATE 0.8%

 

 

 

 

CK Asset Holdings Ltd.

 

243,500

 

985

Hang Lung Properties Ltd.

 

126,000

 

108

Kerry Properties Ltd.

 

252,000

 

595

New World Development Co. Ltd.

 

107,000

 

68

Sino Land Co. Ltd.

 

196,000

 

196

Sun Hung Kai Properties Ltd.

 

164,500

 

1,567

Wharf Holdings Ltd.

 

224,000

 

532

 

 

 

 

4,051

UTILITIES 0.0%

 

 

 

 

China Gas Holdings Ltd.

 

102,400

 

93

Total Hong Kong

 

 

 

14,510

ISRAEL 1.6%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Bezeq The Israeli Telecommunication Corp. Ltd.

 

435,302

 

643

ENERGY 0.1%

 

 

 

 

Oil Refineries Ltd.

 

1,886,954

 

449

Paz Retail & Energy Ltd.

 

1,425

 

188

 

 

 

 

637

FINANCIALS 0.1%

 

 

 

 

Plus500 Ltd.

 

15,682

 

556

INDUSTRIALS 0.9%

 

 

 

 

ZIM Integrated Shipping Services Ltd. (c)

 

291,229

 

4,249

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Check Point Software Technologies Ltd. (a)

 

5,657

 

1,289

MATERIALS 0.0%

 

 

 

 

ICL Group Ltd.

 

12,980

 

74

REAL ESTATE 0.0%

 

 

 

 

G City Ltd.

 

38,061

 

117

Total Israel

 

 

 

7,565

ITALY 0.8%

 

 

 

 

COMMUNICATION SERVICES 0.4%

 

 

 

 

Telecom Italia SpA

 

5,739,343

 

1,939

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

FINANCIALS 0.1%

 

 

 

 

Unipol Assicurazioni SpA

 

17,028

 

273

UTILITIES 0.3%

 

 

 

 

Enel SpA

 

187,668

 

1,521

Total Italy

 

 

 

3,733

JAPAN 20.4%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Hakuhodo DY Holdings, Inc.

 

29,600

 

215

KDDI Corp.

 

4,000

 

63

Nippon Telegraph & Telephone Corp. (c)

 

542,300

 

524

Nippon Television Holdings, Inc.

 

17,200

 

353

 

 

 

 

1,155

CONSUMER DISCRETIONARY 2.5%

 

 

 

 

Bic Camera, Inc.

 

39,900

 

418

Bridgestone Corp.

 

17,000

 

683

DCM Holdings Co. Ltd.

 

26,000

 

242

EDION Corp.

 

80,200

 

1,005

Isuzu Motors Ltd. (c)

 

66,000

 

897

Izumi Co. Ltd.

 

12,300

 

260

K's Holdings Corp.

 

116,600

 

1,061

Nikon Corp. (c)

 

83,500

 

829

Paltac Corp.

 

12,500

 

333

Panasonic Holdings Corp.

 

174,900

 

2,087

Sekisui House Ltd.

 

43,300

 

969

Shimamura Co. Ltd.

 

12,700

 

728

Subaru Corp.

 

43,100

 

772

Tokai Rika Co. Ltd.

 

10,000

 

150

TS Tech Co. Ltd.

 

13,500

 

152

Yamada Holdings Co. Ltd.

 

521,400

 

1,497

Yamaha Corp.

 

10,700

 

83

 

 

 

 

12,166

CONSUMER STAPLES 1.4%

 

 

 

 

Arcs Co. Ltd.

 

14,100

 

274

Coca-Cola Bottlers Japan Holdings, Inc.

 

44,700

 

729

H2O Retailing Corp.

 

72,700

 

1,104

Itoham Yonekyu Holdings, Inc.

 

15,680

 

438

Kao Corp.

 

17,100

 

740

Kewpie Corp.

 

12,500

 

244

MEIJI Holdings Co. Ltd.

 

51,800

 

1,122

Mitsubishi Shokuhin Co. Ltd.

 

9,300

 

306

Morinaga Milk Industry Co. Ltd.

 

11,600

 

241

Sugi Holdings Co. Ltd.

 

41,100

 

771

Tsuruha Holdings, Inc.

 

7,200

 

447

United Super Markets Holdings, Inc.

 

39,700

 

218

 

 

 

 

6,634

ENERGY 0.1%

 

 

 

 

Idemitsu Kosan Co. Ltd.

 

71,100

 

503

FINANCIALS 5.5%

 

 

 

 

Dai-ichi Life Holdings, Inc.

 

190,800

 

1,457

Japan Post Holdings Co. Ltd.

 

1,829,000

 

18,340

Japan Post Insurance Co. Ltd.

 

17,300

 

353

MS&AD Insurance Group Holdings, Inc.

 

251,100

 

5,461

Sompo Holdings, Inc.

 

31,600

 

962

 

 

 

 

26,573

HEALTH CARE 1.0%

 

 

 

 

Alfresa Holdings Corp.

 

76,400

 

1,081

Astellas Pharma, Inc.

 

43,300

 

422

Medipal Holdings Corp.

 

88,800

 

1,386

Sumitomo Pharma Co. Ltd.

 

161,700

 

793

Suzuken Co. Ltd.

 

44,300

 

1,463

 

 

 

 

5,145

INDUSTRIALS 3.0%

 

 

 

 

AGC, Inc.

 

34,800

 

1,059

Amada Co. Ltd. (c)

 

46,900

 

457

COMSYS Holdings Corp.

 

24,200

 

515

Dai Nippon Printing Co. Ltd.

 

129,000

 

1,837

Furukawa Electric Co. Ltd. (c)

 

25,600

 

865

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

Hanwa Co. Ltd.

 

3,100

 

102

Hino Motors Ltd.

 

240,100

 

678

Inabata & Co. Ltd.

 

24,800

 

526

JGC Holdings Corp.

 

7,000

 

55

Kamigumi Co. Ltd.

 

9,500

 

222

Kandenko Co. Ltd.

 

36,900

 

665

Kinden Corp.

 

2,500

 

56

Nagase & Co. Ltd.

 

4,700

 

84

Nisshinbo Holdings, Inc.

 

19,800

 

121

Persol Holdings Co. Ltd.

 

850,700

 

1,417

Sankyu, Inc.

 

10,100

 

415

Seino Holdings Co. Ltd.

 

43,000

 

663

Sekisui Chemical Co. Ltd. (c)

 

68,200

 

1,163

SG Holdings Co. Ltd.

 

5,600

 

56

Sohgo Security Services Co. Ltd.

 

20,900

 

157

Sumitomo Heavy Industries Ltd.

 

3,100

 

64

TOPPAN Holdings, Inc.

 

32,200

 

880

Yamato Holdings Co. Ltd. (c)

 

182,400

 

2,390

 

 

 

 

14,447

INFORMATION TECHNOLOGY 4.1%

 

 

 

 

Alps Alpine Co. Ltd.

 

126,400

 

1,293

Brother Industries Ltd. (c)

 

52,400

 

949

Canon Marketing Japan, Inc.

 

17,200

 

587

Canon, Inc.

 

186,550

 

5,817

Fujitsu Ltd.

 

328,900

 

6,545

Konica Minolta, Inc.

 

209,400

 

708

Nippon Electric Glass Co. Ltd.

 

9,000

 

210

Omron Corp.

 

15,000

 

424

Otsuka Corp.

 

4,100

 

89

Ricoh Co. Ltd. (c)

 

58,500

 

619

Seiko Epson Corp. (c)

 

70,300

 

1,126

Taiyo Yuden Co. Ltd. (c)

 

55,100

 

918

TIS, Inc.

 

17,400

 

481

 

 

 

 

19,766

MATERIALS 1.4%

 

 

 

 

Daicel Corp.

 

58,100

 

506

Denka Co. Ltd. (c)

 

23,800

 

340

Dowa Holdings Co. Ltd.

 

10,100

 

314

JFE Holdings, Inc. (c)

 

17,600

 

216

Kaneka Corp.

 

8,600

 

220

Kansai Paint Co. Ltd.

 

7,900

 

113

Mitsubishi Chemical Group Corp.

 

217,500

 

1,075

Mitsubishi Gas Chemical Co., Inc.

 

14,500

 

226

Mitsubishi Materials Corp. (c)

 

57,600

 

945

Mitsui Mining & Smelting Co. Ltd.

 

6,200

 

182

Nippon Shokubai Co. Ltd.

 

24,300

 

283

Nitto Denko Corp.

 

35,200

 

651

Sumitomo Chemical Co. Ltd.

 

113,100

 

274

Teijin Ltd.

 

6,000

 

53

Toyo Seikan Group Holdings Ltd.

 

60,600

 

992

UBE Corp. (c)

 

21,200

 

309

 

 

 

 

6,699

REAL ESTATE 0.6%

 

 

 

 

Daito Trust Construction Co. Ltd.

 

29,000

 

2,967

UTILITIES 0.6%

 

 

 

 

Chubu Electric Power Co., Inc.

 

126,500

 

1,372

Electric Power Development Co. Ltd. 'C' (c)

 

75,100

 

1,269

Toho Gas Co. Ltd.

 

10,700

 

295

 

 

 

 

2,936

Total Japan

 

 

 

98,991

LUXEMBOURG 2.4%

 

 

 

 

MATERIALS 2.4%

 

 

 

 

ArcelorMittal SA

 

409,406

 

11,826

Total Luxembourg

 

 

 

11,826

NETHERLANDS 6.5%

 

 

 

 

CONSUMER STAPLES 4.2%

 

 

 

 

Koninklijke Ahold Delhaize NV

 

547,046

 

20,435

FINANCIALS 1.4%

 

 

 

 

ABN AMRO Bank NV - Dutch Certificate

 

13,813

 

291

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

NN Group NV

 

116,301

 

6,472

 

 

 

 

6,763

INDUSTRIALS 0.7%

 

 

 

 

Randstad NV (c)

 

87,700

 

3,645

MATERIALS 0.2%

 

 

 

 

Akzo Nobel NV

 

12,115

 

746

Total Netherlands

 

 

 

31,589

NEW ZEALAND 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Air New Zealand Ltd.

 

202,808

 

72

Fletcher Building Ltd.

 

70,502

 

132

 

 

 

 

204

UTILITIES 0.0%

 

 

 

 

Contact Energy Ltd.

 

11,532

 

60

Total New Zealand

 

 

 

264

NORWAY 1.4%

 

 

 

 

COMMUNICATION SERVICES 0.4%

 

 

 

 

Telenor ASA

 

143,932

 

2,057

CONSUMER STAPLES 0.0%

 

 

 

 

Leroy Seafood Group ASA

 

42,027

 

197

ENERGY 0.1%

 

 

 

 

DNO ASA

 

292,525

 

387

INDUSTRIALS 0.1%

 

 

 

 

Golden Ocean Group Ltd.

 

53,187

 

426

MATERIALS 0.8%

 

 

 

 

Yara International ASA

 

126,114

 

3,804

Total Norway

 

 

 

6,871

PORTUGAL 0.0%

 

 

 

 

MATERIALS 0.0%

 

 

 

 

Navigator Co. SA

 

64,210

 

227

Total Portugal

 

 

 

227

RUSSIA 0.0%

 

 

 

 

MATERIALS 0.0%

 

 

 

 

Evraz PLC «(a)

 

238,175

 

0

Total Russia

 

 

 

0

SINGAPORE 0.4%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

JOYY, Inc. ADR

 

13,569

 

569

INDUSTRIALS 0.3%

 

 

 

 

ComfortDelGro Corp. Ltd.

 

784,800

 

851

Jardine Cycle & Carriage Ltd.

 

23,700

 

465

 

 

 

 

1,316

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Venture Corp. Ltd.

 

11,200

 

103

Total Singapore

 

 

 

1,988

SPAIN 2.9%

 

 

 

 

COMMUNICATION SERVICES 2.3%

 

 

 

 

Telefonica SA (c)

 

2,369,399

 

11,168

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

FINANCIALS 0.4%

 

 

 

 

Mapfre SA

 

734,636

 

2,264

UTILITIES 0.2%

 

 

 

 

Endesa SA

 

11,739

 

311

Naturgy Energy Group SA

 

19,571

 

544

 

 

 

 

855

Total Spain

 

 

 

14,287

SWEDEN 2.5%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

Tele2 AB 'B'

 

81,729

 

1,102

Telia Co. AB

 

111,880

 

404

 

 

 

 

1,506

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Electrolux AB 'B' (a)

 

92,763

 

760

H & M Hennes & Mauritz AB 'B'

 

50,581

 

667

 

 

 

 

1,427

INDUSTRIALS 0.5%

 

 

 

 

Peab AB 'B'

 

93,022

 

712

Skanska AB 'B'

 

66,535

 

1,469

 

 

 

 

2,181

INFORMATION TECHNOLOGY 1.3%

 

 

 

 

Telefonaktiebolaget LM Ericsson 'B'

 

790,192

 

6,148

REAL ESTATE 0.1%

 

 

 

 

Samhallsbyggnadsbolaget i Norden AB

 

1,904,560

 

644

Total Sweden

 

 

 

11,906

SWITZERLAND 8.6%

 

 

 

 

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Swatch Group AG

 

8,080

 

1,393

FINANCIALS 0.3%

 

 

 

 

Swiss Life Holding AG

 

177

 

162

Zurich Insurance Group AG

 

1,721

 

1,201

 

 

 

 

1,363

HEALTH CARE 5.3%

 

 

 

 

Novartis AG

 

30,266

 

3,362

Roche Holding AG

 

66,495

 

21,885

Sandoz Group AG

 

13,847

 

581

 

 

 

 

25,828

INDUSTRIALS 0.1%

 

 

 

 

Adecco Group AG

 

19,100

 

574

MATERIALS 2.6%

 

 

 

 

Glencore PLC

 

3,369,451

 

12,333

Total Switzerland

 

 

 

41,491

UNITED KINGDOM 15.4%

 

 

 

 

COMMUNICATION SERVICES 3.9%

 

 

 

 

BT Group PLC

 

312,488

 

670

Vodafone Group PLC

 

19,525,230

 

18,347

 

 

 

 

19,017

CONSUMER DISCRETIONARY 1.6%

 

 

 

 

Currys PLC

 

628,710

 

707

Kingfisher PLC

 

696,192

 

2,293

Pearson PLC

 

9,554

 

151

Persimmon PLC

 

189,891

 

2,937

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

Taylor Wimpey PLC

 

1,178,182

 

1,655

 

 

 

 

7,743

CONSUMER STAPLES 2.3%

 

 

 

 

British American Tobacco PLC

 

138,793

 

5,694

Imperial Brands PLC

 

144,163

 

5,334

 

 

 

 

11,028

FINANCIALS 3.1%

 

 

 

 

Aberdeen Group PLC

 

462,382

 

927

Direct Line Insurance Group PLC

 

802,080

 

2,919

M&G PLC

 

760,292

 

1,959

NatWest Group PLC

 

1,599,568

 

9,444

 

 

 

 

15,249

HEALTH CARE 1.2%

 

 

 

 

GSK PLC

 

292,675

 

5,593

INDUSTRIALS 0.7%

 

 

 

 

International Distribution Services PLC

 

670,975

 

3,146

MATERIALS 1.9%

 

 

 

 

Rio Tinto PLC

 

156,498

 

9,391

UTILITIES 0.7%

 

 

 

 

Centrica PLC

 

1,807,539

 

3,500

Total United Kingdom

 

 

 

74,667

Total Common Stocks (Cost $385,429)

 

 

 

458,362

PREFERRED STOCKS 3.7%

 

 

 

 

GERMANY 3.7%

 

 

 

 

INDUSTRIALS 3.7%

 

 

 

 

Volkswagen AG

 

175,484

 

17,906

Total Preferred Stocks (Cost $16,688)

 

 

 

17,906

REAL ESTATE INVESTMENT TRUSTS 0.2%

 

 

 

 

AUSTRALIA 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Scentre Group

 

116,088

 

246

Total Australia

 

 

 

246

CANADA 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

H&R Real Estate Investment Trust

 

50,686

 

354

RioCan Real Estate Investment Trust (c)

 

28,542

 

340

 

 

 

 

694

Total Canada

 

 

 

694

Total Real Estate Investment Trusts (Cost $864)

 

 

 

940

Total Investments in Securities (Cost $402,981)

 

 

 

477,208

INVESTMENTS IN AFFILIATES 7.5%

 

 

 

 

SHORT-TERM INSTRUMENTS 7.5%

 

 

 

 

MUTUAL FUNDS 7.5%

 

 

 

 

PIMCO Government Money Market Fund

4.470 % (b)(c)(d)

 

36,284,427

 

36,284

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 0.0%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

1,308

 

13

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

Total Short-Term Instruments (Cost $36,297)

 

 

 

36,297

Total Investments in Affiliates (Cost $36,297)

 

 

 

36,297

Total Investments 106.0% (Cost $439,278)

 

 

$

513,505

Other Assets and Liabilities, net (6.0)%

 

 

 

(29,291)

Net Assets 100.0%

 

 

$

484,214

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

«

Security valued using significant unobservable inputs (Level 3).

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

(a)

Security did not produce income within the last twelve months.

(b)

Institutional Class Shares of each Fund.

(c)

Securities with an aggregate market value of $35,020 were out on loan in exchange for $37,552 of cash collateral as of March 31, 2025.

(d)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Australia

 

Communication Services

$

0

$

792

$

0

$

792

 

 

Consumer Discretionary

 

0

 

885

 

0

 

885

 

 

Consumer Staples

 

0

 

165

 

0

 

165

 

 

Energy

 

0

 

140

 

0

 

140

 

 

Financials

 

0

 

2,011

 

0

 

2,011

 

 

Industrials

 

0

 

1,959

 

0

 

1,959

 

 

Materials

 

0

 

4,792

 

0

 

4,792

 

 

Utilities

 

0

 

5,582

 

0

 

5,582

 

 

Austria

 

Industrials

 

163

 

0

 

0

 

163

 

 

Materials

 

0

 

2,736

 

0

 

2,736

 

 

Belgium

 

Communication Services

 

0

 

1,093

 

0

 

1,093

 

 

Consumer Staples

 

324

 

0

 

0

 

324

 

 

Financials

 

0

 

3,113

 

0

 

3,113

 

 

Health Care

 

0

 

312

 

0

 

312

 

 

Industrials

 

0

 

147

 

0

 

147

 

 

Materials

 

0

 

188

 

0

 

188

 

 

Canada

 

Consumer Discretionary

 

8,038

 

0

 

0

 

8,038

 

 

Consumer Staples

 

1,550

 

0

 

0

 

1,550

 

 

Energy

 

11,739

 

0

 

0

 

11,739

 

 

Financials

 

5,508

 

0

 

0

 

5,508

 

 

Health Care

 

287

 

0

 

0

 

287

 

 

Industrials

 

481

 

0

 

0

 

481

 

 

Information Technology

 

369

 

0

 

0

 

369

 

 

Materials

 

5,726

 

0

 

0

 

5,726

 

 

Utilities

 

1,420

 

0

 

0

 

1,420

 

 

Denmark

 

Health Care

 

0

 

694

 

0

 

694

 

 

Industrials

 

0

 

12,067

 

0

 

12,067

 

 

Finland

 

Consumer Staples

 

0

 

1,066

 

0

 

1,066

 

 

Financials

 

0

 

2,154

 

0

 

2,154

 

 

Industrials

 

0

 

1,056

 

0

 

1,056

 

 

Information Technology

 

0

 

3,824

 

0

 

3,824

 

 

Materials

 

0

 

1,179

 

0

 

1,179

 

 

Utilities

 

0

 

1,988

 

0

 

1,988

 

 

France

 

Communication Services

 

0

 

971

 

0

 

971

 

 

Consumer Discretionary

 

0

 

6,907

 

0

 

6,907

 

 

Consumer Staples

 

0

 

372

 

0

 

372

 

 

Financials

 

0

 

1,372

 

0

 

1,372

 

 

Health Care

 

0

 

8,815

 

0

 

8,815

 

 

Industrials

 

0

 

2,881

 

0

 

2,881

 

 

Germany

 

Consumer Discretionary

 

0

 

5,551

 

0

 

5,551

 

 

Health Care

 

1,594

 

5,205

 

0

 

6,799

 

 

Industrials

 

0

 

173

 

0

 

173

 

 

Materials

 

0

 

21,058

 

0

 

21,058

 

 

Hong Kong

 

Communication Services

 

191

 

0

 

0

 

191

 

 

Consumer Discretionary

 

0

 

1,133

 

0

 

1,133

 

 

Consumer Staples

 

0

 

3,418

 

0

 

3,418

 

 

Industrials

 

2,833

 

1,089

 

0

 

3,922

 

 

Information Technology

 

0

 

1,702

 

0

 

1,702

 

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Real Estate

 

532

 

3,519

 

0

 

4,051

 

 

Utilities

 

0

 

93

 

0

 

93

 

 

Israel

 

Communication Services

 

0

 

643

 

0

 

643

 

 

Energy

 

188

 

449

 

0

 

637

 

 

Financials

 

556

 

0

 

0

 

556

 

 

Industrials

 

4,249

 

0

 

0

 

4,249

 

 

Information Technology

 

1,289

 

0

 

0

 

1,289

 

 

Materials

 

0

 

74

 

0

 

74

 

 

Real Estate

 

0

 

117

 

0

 

117

 

 

Italy

 

Communication Services

 

0

 

1,939

 

0

 

1,939

 

 

Financials

 

0

 

273

 

0

 

273

 

 

Utilities

 

1,521

 

0

 

0

 

1,521

 

 

Japan

 

Communication Services

 

0

 

1,155

 

0

 

1,155

 

 

Consumer Discretionary

 

0

 

12,166

 

0

 

12,166

 

 

Consumer Staples

 

1,340

 

5,294

 

0

 

6,634

 

 

Energy

 

0

 

503

 

0

 

503

 

 

Financials

 

0

 

26,573

 

0

 

26,573

 

 

Health Care

 

0

 

5,145

 

0

 

5,145

 

 

Industrials

 

0

 

14,447

 

0

 

14,447

 

 

Information Technology

 

0

 

19,766

 

0

 

19,766

 

 

Materials

 

0

 

6,699

 

0

 

6,699

 

 

Real Estate

 

0

 

2,967

 

0

 

2,967

 

 

Utilities

 

0

 

2,936

 

0

 

2,936

 

 

Luxembourg

 

Materials

 

0

 

11,826

 

0

 

11,826

 

 

Netherlands

 

Consumer Staples

 

0

 

20,435

 

0

 

20,435

 

 

Financials

 

0

 

6,763

 

0

 

6,763

 

 

Industrials

 

0

 

3,645

 

0

 

3,645

 

 

Materials

 

0

 

746

 

0

 

746

 

 

New Zealand

 

Industrials

 

72

 

132

 

0

 

204

 

 

Utilities

 

0

 

60

 

0

 

60

 

 

Norway

 

Communication Services

 

0

 

2,057

 

0

 

2,057

 

 

Consumer Staples

 

197

 

0

 

0

 

197

 

 

Energy

 

0

 

387

 

0

 

387

 

 

Industrials

 

426

 

0

 

0

 

426

 

 

Materials

 

0

 

3,804

 

0

 

3,804

 

 

Portugal

 

Materials

 

0

 

227

 

0

 

227

 

 

Singapore

 

Communication Services

 

569

 

0

 

0

 

569

 

 

Industrials

 

0

 

1,316

 

0

 

1,316

 

 

Information Technology

 

0

 

103

 

0

 

103

 

 

Spain

 

Communication Services

 

0

 

11,168

 

0

 

11,168

 

 

Financials

 

0

 

2,264

 

0

 

2,264

 

 

Utilities

 

855

 

0

 

0

 

855

 

 

Sweden

 

Communication Services

 

1,506

 

0

 

0

 

1,506

 

 

Consumer Discretionary

 

0

 

1,427

 

0

 

1,427

 

 

Industrials

 

0

 

2,181

 

0

 

2,181

 

 

Information Technology

 

0

 

6,148

 

0

 

6,148

 

 

Real Estate

 

0

 

644

 

0

 

644

 

 

Switzerland

 

Consumer Discretionary

 

0

 

1,393

 

0

 

1,393

 

 

Financials

 

0

 

1,363

 

0

 

1,363

 

 

Health Care

 

0

 

25,828

 

0

 

25,828

 

 

Industrials

 

0

 

574

 

0

 

574

 

 

Materials

 

0

 

12,333

 

0

 

12,333

 

 

United Kingdom

 

Communication Services

 

0

 

19,017

 

0

 

19,017

 

 

Consumer Discretionary

 

707

 

7,036

 

0

 

7,743

 

 

Consumer Staples

 

0

 

11,028

 

0

 

11,028

 

 

Financials

 

0

 

15,249

 

0

 

15,249

 

 

Health Care

 

0

 

5,593

 

0

 

5,593

 

 

Industrials

 

3,146

 

0

 

0

 

3,146

 

 

Materials

 

0

 

9,391

 

0

 

9,391

 

 

Utilities

 

0

 

3,500

 

0

 

3,500

 

Preferred Stocks

 

Germany

 

Industrials

 

0

 

17,906

 

0

 

17,906

 

Real Estate Investment Trusts

 

Australia

 

Real Estate

 

0

 

246

 

0

 

246

 

 

Canada

 

Real Estate

 

694

 

0

 

0

 

694

 

 

$

58,070

$

419,138

$

0

$

477,208

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Mutual Funds

 

36,284

 

0

 

0

 

36,284

 

Schedule of Investments PIMCO RAE International Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

Central Funds Used for Cash Management Purposes

 

13

 

0

 

0

 

13

 

 

$

36,297

$

0

$

0

$

36,297

 

Total Investments

$

94,367

$

419,138

$

0

$

513,505

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAE US Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.5% ¤

 

 

 

 

COMMON STOCKS 98.8%

 

 

 

 

UNITED KINGDOM 0.1%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Liberty Global Ltd. 'C' (a)

 

107,783

$

1,290

Total United Kingdom

 

 

 

1,290

UNITED STATES 98.7%

 

 

 

 

COMMUNICATION SERVICES 5.0%

 

 

 

 

Charter Communications, Inc. 'A' (a)

 

85,316

 

31,442

Comcast Corp. 'A'

 

132,017

 

4,871

Electronic Arts, Inc.

 

42,840

 

6,191

Fox Corp. 'A'

 

127,850

 

7,236

Lumen Technologies, Inc. (a)

 

1,883,960

 

7,385

Omnicom Group, Inc.

 

30,961

 

2,567

Paramount Global 'B' (c)

 

679,912

 

8,132

 

 

 

 

67,824

CONSUMER DISCRETIONARY 7.1%

 

 

 

 

Advance Auto Parts, Inc.

 

135,224

 

5,302

AutoNation, Inc. (a)

 

29,116

 

4,714

Best Buy Co., Inc.

 

247,534

 

18,221

Dick's Sporting Goods, Inc.

 

12,493

 

2,518

eBay, Inc.

 

317,400

 

21,498

Foot Locker, Inc. (a)

 

113,858

 

1,605

Gap, Inc.

 

59,675

 

1,230

Kohl's Corp. (c)

 

757,123

 

6,193

LKQ Corp.

 

30,799

 

1,310

Lowe's Cos., Inc.

 

22,403

 

5,225

Macy's, Inc.

 

680,738

 

8,550

NVR, Inc. (a)

 

902

 

6,534

PulteGroup, Inc.

 

29,257

 

3,008

PVH Corp.

 

21,376

 

1,382

Ralph Lauren Corp.

 

8,474

 

1,871

Tapestry, Inc.

 

75,330

 

5,304

Whirlpool Corp.

 

30,574

 

2,756

 

 

 

 

97,221

CONSUMER STAPLES 12.7%

 

 

 

 

Altria Group, Inc.

 

573,885

 

34,445

Archer-Daniels-Midland Co.

 

45,752

 

2,197

Dollar General Corp.

 

143,594

 

12,626

Estee Lauder Cos., Inc. 'A'

 

61,516

 

4,060

Kroger Co.

 

500,153

 

33,855

Target Corp.

 

191,529

 

19,988

Tyson Foods, Inc. 'A'

 

138,243

 

8,821

Walgreens Boots Alliance, Inc.

 

899,781

 

10,051

Walmart, Inc.

 

552,868

 

48,536

 

 

 

 

174,579

ENERGY 7.8%

 

 

 

 

Marathon Petroleum Corp.

 

289,270

 

42,144

Phillips 66

 

184,305

 

22,758

Valero Energy Corp.

 

311,052

 

41,081

World Kinect Corp.

 

14,787

 

419

 

 

 

 

106,402

FINANCIALS 9.3%

 

 

 

 

Aflac, Inc.

 

31,937

 

3,551

Ally Financial, Inc.

 

293,481

 

10,703

American Financial Group, Inc.

 

18,996

 

2,495

American International Group, Inc.

 

229,092

 

19,917

Ameriprise Financial, Inc.

 

1,768

 

856

Capital One Financial Corp.

 

11,956

 

2,144

Comerica, Inc.

 

66,982

 

3,956

Schedule of Investments PIMCO RAE US Fund (Cont.)

March 31, 2025 (Unaudited)

 

Corebridge Financial, Inc.

 

127,162

 

4,014

Fidelity National Financial, Inc.

 

23,523

 

1,531

First American Financial Corp.

 

33,697

 

2,212

Franklin Resources, Inc.

 

141,437

 

2,723

Invesco Ltd.

 

241,336

 

3,661

Jefferies Financial Group, Inc.

 

36,502

 

1,955

Old Republic International Corp.

 

45,566

 

1,787

OneMain Holdings, Inc.

 

40,970

 

2,003

PayPal Holdings, Inc. (a)

 

30,657

 

2,000

Principal Financial Group, Inc.

 

37,195

 

3,138

Synchrony Financial

 

612,774

 

32,440

T. Rowe Price Group, Inc.

 

80,241

 

7,372

Travelers Cos., Inc.

 

49,640

 

13,128

Unum Group

 

37,633

 

3,066

Zions Bancorp NA

 

52,224

 

2,604

 

 

 

 

127,256

HEALTH CARE 17.9%

 

 

 

 

Amgen, Inc.

 

14,701

 

4,580

Biogen, Inc. (a)

 

106,059

 

14,513

Bristol-Myers Squibb Co.

 

391,334

 

23,867

Cardinal Health, Inc.

 

154,203

 

21,245

Centene Corp. (a)

 

122,947

 

7,464

Cigna Group

 

21,823

 

7,180

DaVita, Inc. (a)

 

84,921

 

12,990

GE HealthCare Technologies, Inc.

 

76,267

 

6,156

Gilead Sciences, Inc.

 

438,991

 

49,189

Humana, Inc.

 

79,123

 

20,936

Labcorp Holdings, Inc.

 

14,306

 

3,330

McKesson Corp.

 

4,682

 

3,151

Organon & Co.

 

284,682

 

4,239

Pfizer, Inc.

 

2,103,452

 

53,301

Quest Diagnostics, Inc.

 

26,718

 

4,521

Universal Health Services, Inc. 'B'

 

47,293

 

8,886

 

 

 

 

245,548

INDUSTRIALS 7.6%

 

 

 

 

3M Co.

 

283,869

 

41,689

Avis Budget Group, Inc. (a)

 

10,444

 

793

CH Robinson Worldwide, Inc.

 

86,342

 

8,841

CSX Corp.

 

300,887

 

8,855

Expeditors International of Washington, Inc.

 

55,523

 

6,677

Hertz Global Holdings, Inc. (a)(c)

 

373,171

 

1,470

Honeywell International, Inc.

 

3,739

 

792

Leidos Holdings, Inc.

 

25,760

 

3,476

Lockheed Martin Corp.

 

22,428

 

10,019

ManpowerGroup, Inc.

 

94,921

 

5,494

Masco Corp.

 

23,469

 

1,632

Norfolk Southern Corp.

 

41,500

 

9,829

Robert Half, Inc.

 

46,108

 

2,515

Union Pacific Corp.

 

10,559

 

2,495

 

 

 

 

104,577

INFORMATION TECHNOLOGY 24.8%

 

 

 

 

Amdocs Ltd.

 

33,712

 

3,085

Apple, Inc.

 

273,193

 

60,684

Applied Materials, Inc.

 

159,729

 

23,180

Arrow Electronics, Inc. (a)

 

61,011

 

6,335

Avnet, Inc.

 

112,312

 

5,401

Cisco Systems, Inc.

 

989,567

 

61,066

Cognizant Technology Solutions Corp. 'A'

 

155,021

 

11,859

Corning, Inc.

 

118,218

 

5,412

DXC Technology Co. (a)

 

125,363

 

2,138

Hewlett Packard Enterprise Co.

 

980,097

 

15,123

HP, Inc.

 

700,338

 

19,392

Intel Corp.

 

542,110

 

12,311

Juniper Networks, Inc.

 

266,382

 

9,640

Kyndryl Holdings, Inc. (a)

 

148,890

 

4,675

Lam Research Corp.

 

60,428

 

4,393

Micron Technology, Inc.

 

29,644

 

2,576

NetApp, Inc.

 

141,277

 

12,410

Oracle Corp.

 

20,920

 

2,925

Qorvo, Inc. (a)

 

85,423

 

6,186

QUALCOMM, Inc.

 

192,066

 

29,503

Sandisk Corp. (a)

 

96,027

 

4,572

Seagate Technology Holdings PLC

 

204,075

 

17,336

Skyworks Solutions, Inc.

 

26,152

 

1,690

Teradyne, Inc.

 

66,272

 

5,474

Western Digital Corp. (a)

 

287,981

 

11,643

Schedule of Investments PIMCO RAE US Fund (Cont.)

March 31, 2025 (Unaudited)

 

Xerox Holdings Corp.

 

303,816

 

1,467

 

 

 

 

340,476

MATERIALS 3.0%

 

 

 

 

Cleveland-Cliffs, Inc. (a)

 

56,583

 

465

DuPont de Nemours, Inc.

 

37,472

 

2,799

Eastman Chemical Co.

 

34,913

 

3,076

Huntsman Corp.

 

133,051

 

2,101

International Paper Co.

 

177,167

 

9,452

LyondellBasell Industries NV 'A'

 

101,108

 

7,118

Mosaic Co.

 

78,318

 

2,115

Reliance, Inc.

 

14,517

 

4,192

Steel Dynamics, Inc.

 

35,738

 

4,470

U.S. Steel Corp.

 

126,365

 

5,340

 

 

 

 

41,128

REAL ESTATE 1.0%

 

 

 

 

CBRE Group, Inc. 'A' (a)

 

53,458

 

6,991

Jones Lang LaSalle, Inc. (a)

 

26,702

 

6,620

 

 

 

 

13,611

UTILITIES 2.5%

 

 

 

 

Consolidated Edison, Inc.

 

27,195

 

3,007

Evergy, Inc.

 

144,859

 

9,988

NRG Energy, Inc.

 

59,486

 

5,678

PPL Corp.

 

160,870

 

5,809

Southern Co.

 

23,368

 

2,149

UGI Corp.

 

134,068

 

4,434

WEC Energy Group, Inc.

 

32,253

 

3,515

 

 

 

 

34,580

Total United States

 

 

 

1,353,202

Total Common Stocks (Cost $1,148,774)

 

 

 

1,354,492

REAL ESTATE INVESTMENT TRUSTS 0.7%

 

 

 

 

UNITED STATES 0.7%

 

 

 

 

REAL ESTATE 0.7%

 

 

 

 

Host Hotels & Resorts, Inc.

 

147,751

 

2,100

Weyerhaeuser Co.

 

255,105

 

7,469

 

 

 

 

9,569

Total Real Estate Investment Trusts (Cost $10,570)

 

 

 

9,569

SHORT-TERM INSTRUMENTS 0.0%

 

 

 

 

MUTUAL FUNDS 0.0%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

163,955

 

164

Total Mutual Funds (Cost $164)

 

 

 

164

Total Short-Term Instruments (Cost $164)

 

 

 

164

Total Investments in Securities (Cost $1,159,508)

 

 

 

1,364,225

INVESTMENTS IN AFFILIATES 1.7%

 

 

 

 

SHORT-TERM INSTRUMENTS 1.7%

 

 

 

 

MUTUAL FUNDS 1.2%

 

 

 

 

PIMCO Government Money Market Fund

4.470% (b)(c)(d)

 

16,112,562

 

16,113

Total Mutual Funds (Cost $16,113)

 

 

 

16,113

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 0.5%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

640,276

 

6,232

Total Short-Term Instruments (Cost $22,510)

 

 

 

22,509

Total Investments in Affiliates (Cost $22,346)

 

 

 

22,345

Total Investments 101.2% (Cost $1,181,854)

 

 

$

1,386,570

Other Assets and Liabilities, net (1.2)%

 

 

 

(16,047)

Net Assets 100.0%

 

 

$

1,370,523

Schedule of Investments PIMCO RAE US Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Security did not produce income within the last twelve months.

(b)

Institutional Class Shares of each Fund.

(c)

Securities with an aggregate market value of $15,770 were out on loan in exchange for $16,113 of cash collateral as of March 31, 2025.

(d)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

United Kingdom

 

Communication Services

$

1,290

$

0

$

0

$

1,290

 

 

United States

 

Communication Services

 

67,824

 

0

 

0

 

67,824

 

 

Consumer Discretionary

 

97,221

 

0

 

0

 

97,221

 

 

Consumer Staples

 

174,579

 

0

 

0

 

174,579

 

 

Energy

 

106,402

 

0

 

0

 

106,402

 

 

Financials

 

127,256

 

0

 

0

 

127,256

 

 

Health Care

 

245,548

 

0

 

0

 

245,548

 

 

Industrials

 

104,577

 

0

 

0

 

104,577

 

 

Information Technology

 

340,476

 

0

 

0

 

340,476

 

 

Materials

 

41,128

 

0

 

0

 

41,128

 

 

Real Estate

 

13,611

 

0

 

0

 

13,611

 

 

Utilities

 

34,580

 

0

 

0

 

34,580

 

Real Estate Investment Trusts

 

United States

 

Real Estate

 

9,569

 

0

 

0

 

9,569

 

Short-Term Instruments

 

Mutual Funds

 

0

 

164

 

0

 

164

 

 

$

1,364,061

$

164

$

0

$

1,364,225

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Mutual Funds

 

16,113

 

0

 

0

 

16,113

 

 

Central Funds Used for Cash Management Purposes

 

6,232

 

0

 

0

 

6,232

 

 

$

22,345

$

0

$

0

$

22,345

 

Total Investments

$

1,386,406

$

164

$

0

$

1,386,570

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAE US Small Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.2% ¤

 

 

 

 

COMMON STOCKS 88.7%

 

 

 

 

IRELAND 0.2%

 

 

 

 

HEALTH CARE 0.2%

 

 

 

 

Jazz Pharmaceuticals PLC (a)

 

34,579

$

4,293

Total Ireland

 

 

 

4,293

SWITZERLAND 0.3%

 

 

 

 

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Guess?, Inc.

 

464,921

 

5,147

Total Switzerland

 

 

 

5,147

UNITED KINGDOM 2.7%

 

 

 

 

CONSUMER DISCRETIONARY 0.6%

 

 

 

 

Capri Holdings Ltd. (a)

 

554,634

 

10,943

CONSUMER STAPLES 0.1%

 

 

 

 

Nomad Foods Ltd.

 

120,685

 

2,371

FINANCIALS 2.0%

 

 

 

 

Janus Henderson Group PLC

 

967,820

 

34,987

Total United Kingdom

 

 

 

48,301

UNITED STATES 85.5%

 

 

 

 

COMMUNICATION SERVICES 3.5%

 

 

 

 

IAC, Inc. (a)

 

37,600

 

1,727

John Wiley & Sons, Inc. 'A'

 

117,144

 

5,220

Liberty Latin America Ltd. 'C' (a)

 

710,552

 

4,412

Nexstar Media Group, Inc.

 

98,728

 

17,694

NII Holdings, Inc. «(a)

 

22,836

 

0

Scholastic Corp.

 

186,473

 

3,521

TEGNA, Inc.

 

86,751

 

1,581

Telephone & Data Systems, Inc.

 

251,931

 

9,760

Yelp, Inc. (a)

 

398,435

 

14,754

Ziff Davis, Inc. (a)

 

130,271

 

4,896

 

 

 

 

63,565

CONSUMER DISCRETIONARY 16.0%

 

 

 

 

Abercrombie & Fitch Co. 'A' (a)

 

211,636

 

16,163

Academy Sports & Outdoors, Inc.

 

135,372

 

6,174

Adient PLC (a)

 

86,435

 

1,112

ADT, Inc.

 

178,294

 

1,451

Adtalem Global Education, Inc. (a)

 

123,789

 

12,458

American Eagle Outfitters, Inc.

 

62,141

 

722

Buckle, Inc.

 

48,254

 

1,849

Carter's, Inc.

 

455,509

 

18,630

Columbia Sportswear Co.

 

26,468

 

2,003

Cracker Barrel Old Country Store, Inc.

 

92,303

 

3,583

Dillard's, Inc. 'A' (c)

 

129,104

 

46,236

Grand Canyon Education, Inc. (a)

 

62,438

 

10,803

Group 1 Automotive, Inc.

 

8,634

 

3,298

H&R Block, Inc.

 

58,697

 

3,223

Hanesbrands, Inc. (a)

 

4,061,817

 

23,437

Helen of Troy Ltd. (a)

 

140,581

 

7,520

La-Z-Boy, Inc.

 

30,418

 

1,189

Laureate Education, Inc. (a)

 

28,801

 

589

LCI Industries

 

15,151

 

1,325

Leggett & Platt, Inc.

 

255,060

 

2,018

Marriott Vacations Worldwide Corp.

 

49,508

 

3,180

Murphy USA, Inc.

 

73,780

 

34,663

Newell Brands, Inc.

 

803,940

 

4,984

Nordstrom, Inc.

 

157,887

 

3,860

Schedule of Investments PIMCO RAE US Small Fund (Cont.)

March 31, 2025 (Unaudited)

 

ODP Corp. (a)

 

569,227

 

8,157

Patrick Industries, Inc.

 

11,607

 

981

Phinia, Inc.

 

83,452

 

3,541

Polaris, Inc.

 

133,658

 

5,472

Sabre Corp. (a)

 

1,829,345

 

5,140

Sally Beauty Holdings, Inc. (a)

 

643,394

 

5,810

Signet Jewelers Ltd.

 

18,145

 

1,053

Sonic Automotive, Inc. 'A'

 

44,378

 

2,528

Steven Madden Ltd.

 

195,254

 

5,202

Taylor Morrison Home Corp. (a)

 

171,833

 

10,317

Travel & Leisure Co.

 

90,426

 

4,186

Tri Pointe Homes, Inc. (a)

 

526,865

 

16,818

United Parks & Resorts, Inc. (a)

 

27,523

 

1,251

Urban Outfitters, Inc. (a)

 

51,326

 

2,689

Victoria's Secret & Co. (a)

 

46,488

 

864

Wyndham Hotels & Resorts, Inc.

 

43,097

 

3,901

 

 

 

 

288,380

CONSUMER STAPLES 5.4%

 

 

 

 

Cal-Maine Foods, Inc.

 

30,513

 

2,774

Flowers Foods, Inc.

 

308,103

 

5,857

Fresh Del Monte Produce, Inc.

 

168,485

 

5,194

Ingles Markets, Inc. 'A'

 

103,394

 

6,734

Ingredion, Inc.

 

21,849

 

2,954

Pilgrim's Pride Corp.

 

31,830

 

1,735

Seaboard Corp.

 

276

 

745

Sprouts Farmers Market, Inc. (a)

 

380,760

 

58,119

Universal Corp.

 

90,961

 

5,098

Weis Markets, Inc.

 

111,058

 

8,557

 

 

 

 

97,767

ENERGY 2.9%

 

 

 

 

Antero Resources Corp. (a)

 

281,908

 

11,400

APA Corp.

 

424,624

 

8,926

CNX Resources Corp. (a)

 

412,623

 

12,989

CVR Energy, Inc.

 

166,174

 

3,224

Delek U.S. Holdings, Inc.

 

617,705

 

9,309

Helmerich & Payne, Inc.

 

71,720

 

1,873

Murphy Oil Corp.

 

31,394

 

891

Peabody Energy Corp.

 

199,972

 

2,710

 

 

 

 

51,322

FINANCIALS 15.7%

 

 

 

 

Affiliated Managers Group, Inc.

 

133,084

 

22,362

Artisan Partners Asset Management, Inc. 'A'

 

52,227

 

2,042

BankUnited, Inc.

 

153,218

 

5,277

Banner Corp.

 

55,251

 

3,523

Bread Financial Holdings, Inc.

 

344,518

 

17,253

CNO Financial Group, Inc.

 

523,640

 

21,810

Credit Acceptance Corp. (a)

 

16,376

 

8,456

Encore Capital Group, Inc. (a)

 

98,910

 

3,391

Equitable Holdings, Inc.

 

123,925

 

6,455

Evercore, Inc. 'A'

 

9,802

 

1,958

Federated Hermes, Inc.

 

203,762

 

8,307

First Hawaiian, Inc.

 

172,484

 

4,216

Genworth Financial, Inc. (a)

 

1,022,078

 

7,247

Hanover Insurance Group, Inc.

 

42,433

 

7,381

Hilltop Holdings, Inc.

 

74,082

 

2,256

Jackson Financial, Inc. 'A'

 

230,384

 

19,302

MGIC Investment Corp.

 

684,750

 

16,968

Moelis & Co. 'A'

 

23,734

 

1,385

Navient Corp.

 

280,795

 

3,546

Nelnet, Inc. 'A'

 

5,217

 

579

PennyMac Financial Services, Inc.

 

51,692

 

5,175

PROG Holdings, Inc.

 

474,812

 

12,630

Radian Group, Inc.

 

349,393

 

11,554

SEI Investments Co.

 

93,088

 

7,226

SLM Corp.

 

1,646,319

 

48,352

Stewart Information Services Corp.

 

25,879

 

1,846

Virtu Financial, Inc. 'A'

 

384,357

 

14,652

Walker & Dunlop, Inc.

 

20,540

 

1,753

Western Union Co.

 

1,474,171

 

15,597

 

 

 

 

282,499

HEALTH CARE 4.9%

 

 

 

 

Amedisys, Inc. (a)

 

27,516

 

2,549

AMN Healthcare Services, Inc. (a)

 

261,741

 

6,402

Bio-Rad Laboratories, Inc. 'A' (a)

 

11,551

 

2,813

Dentsply Sirona, Inc.

 

356,644

 

5,328

Elanco Animal Health, Inc. (a)

 

337,930

 

3,548

Envista Holdings Corp. (a)

 

312,079

 

5,387

Haemonetics Corp. (a)

 

36,964

 

2,349

Schedule of Investments PIMCO RAE US Small Fund (Cont.)

March 31, 2025 (Unaudited)

 

Integra LifeSciences Holdings Corp. (a)

 

110,465

 

2,429

Owens & Minor, Inc. (a)

 

727,865

 

6,573

Patterson Cos., Inc.

 

681,525

 

21,291

Premier, Inc. 'A'

 

393,015

 

7,577

QuidelOrtho Corp. (a)

 

56,640

 

1,981

Revvity, Inc.

 

93,358

 

9,877

Select Medical Holdings Corp.

 

41,378

 

691

Tenet Healthcare Corp. (a)

 

62,058

 

8,347

Vir Biotechnology, Inc. (a)

 

228,485

 

1,481

 

 

 

 

88,623

INDUSTRIALS 18.4%

 

 

 

 

A.O. Smith Corp.

 

128,016

 

8,367

Acuity, Inc.

 

99,696

 

26,255

Allison Transmission Holdings, Inc.

 

514,679

 

49,239

Apogee Enterprises, Inc.

 

122,159

 

5,660

Boise Cascade Co.

 

57,061

 

5,597

Brady Corp. 'A'

 

55,884

 

3,948

CACI International, Inc. 'A' (a)

 

7,610

 

2,792

Concentrix Corp.

 

52,232

 

2,906

CoreCivic, Inc. (a)

 

1,170,482

 

23,749

CSG Systems International, Inc.

 

59,255

 

3,583

DNOW, Inc. (a)

 

510,822

 

8,725

EMCOR Group, Inc.

 

6,329

 

2,339

EnerSys

 

42,176

 

3,862

Forward Air Corp. (a)

 

169,381

 

3,403

Genpact Ltd.

 

256,065

 

12,901

GEO Group, Inc. (a)

 

1,056,249

 

30,853

Granite Construction, Inc.

 

37,826

 

2,852

HNI Corp.

 

43,449

 

1,927

JELD-WEN Holding, Inc. (a)

 

147,776

 

882

JetBlue Airways Corp. (a)

 

2,356,306

 

11,357

Kennametal, Inc.

 

161,759

 

3,445

Korn Ferry

 

42,533

 

2,885

Landstar System, Inc.

 

103,549

 

15,553

Masterbrand, Inc. (a)

 

70,120

 

916

Matson, Inc.

 

16,128

 

2,067

Maximus, Inc.

 

86,950

 

5,929

MSC Industrial Direct Co., Inc. 'A'

 

16,409

 

1,275

Ryder System, Inc.

 

216,424

 

31,124

Schneider National, Inc. 'B'

 

80,250

 

1,834

Science Applications International Corp.

 

30,168

 

3,387

Sensata Technologies Holding PLC

 

369,269

 

8,962

SkyWest, Inc. (a)

 

215,686

 

18,845

Spirit AeroSystems Holdings, Inc. 'A' (a)

 

46,790

 

1,612

Steelcase, Inc. 'A'

 

481,521

 

5,277

TriNet Group, Inc.

 

23,786

 

1,885

UniFirst Corp.

 

11,704

 

2,037

Valmont Industries, Inc.

 

6,945

 

1,982

Vestis Corp.

 

363,638

 

3,600

Wabash National Corp.

 

142,619

 

1,576

Werner Enterprises, Inc.

 

185,688

 

5,441

 

 

 

 

330,829

INFORMATION TECHNOLOGY 9.2%

 

 

 

 

ASGN, Inc. (a)

 

61,614

 

3,883

Belden, Inc.

 

31,352

 

3,143

Benchmark Electronics, Inc.

 

234,108

 

8,903

Cirrus Logic, Inc. (a)

 

202,848

 

20,215

Cognex Corp.

 

107,880

 

3,218

Diodes, Inc. (a)

 

78,990

 

3,410

Dolby Laboratories, Inc. 'A'

 

72,471

 

5,820

Dropbox, Inc. 'A' (a)

 

425,444

 

11,364

GoDaddy, Inc. 'A' (a)

 

12,592

 

2,268

InterDigital, Inc.

 

11,237

 

2,323

IPG Photonics Corp. (a)

 

68,677

 

4,336

LiveRamp Holdings, Inc. (a)

 

113,392

 

2,964

NetScout Systems, Inc. (a)

 

550,440

 

11,565

PC Connection, Inc.

 

34,227

 

2,136

Power Integrations, Inc.

 

54,175

 

2,736

Sanmina Corp. (a)

 

478,250

 

36,433

Silicon Laboratories, Inc. (a)

 

81,316

 

9,154

Teradata Corp. (a)

 

635,485

 

14,286

TTM Technologies, Inc. (a)

 

92,041

 

1,888

Viavi Solutions, Inc. (a)

 

549,217

 

6,146

Vishay Intertechnology, Inc.

 

647,111

 

10,289

 

 

 

 

166,480

MATERIALS 6.0%

 

 

 

 

Berry Global Group, Inc.

 

72,820

 

5,083

Chemours Co.

 

478,441

 

6,473

FMC Corp.

 

181,432

 

7,655

Greif, Inc. 'A'

 

64,933

 

3,571

Schedule of Investments PIMCO RAE US Small Fund (Cont.)

March 31, 2025 (Unaudited)

 

Louisiana-Pacific Corp.

 

63,970

 

5,884

NewMarket Corp.

 

2,168

 

1,228

Olin Corp.

 

404,207

 

9,798

Ryerson Holding Corp.

 

103,260

 

2,371

Sealed Air Corp.

 

76,064

 

2,198

Sylvamo Corp.

 

264,882

 

17,766

Warrior Met Coal, Inc.

 

983,738

 

46,944

 

 

 

 

108,971

REAL ESTATE 0.7%

 

 

 

 

Cushman & Wakefield PLC (a)

 

574,730

 

5,874

eXp World Holdings, Inc. (c)

 

176,585

 

1,727

New York REIT, Inc. «(a)

 

4,082

 

0

Newmark Group, Inc. 'A'

 

359,236

 

4,372

 

 

 

 

11,973

UTILITIES 2.8%

 

 

 

 

Clearway Energy, Inc. 'C'

 

130,704

 

3,956

Hawaiian Electric Industries, Inc. (a)

 

830,704

 

9,096

IDACORP, Inc.

 

51,574

 

5,994

National Fuel Gas Co.

 

79,878

 

6,326

OGE Energy Corp.

 

242,725

 

11,156

ONE Gas, Inc.

 

22,191

 

1,677

Portland General Electric Co.

 

199,545

 

8,900

TXNM Energy, Inc.

 

63,974

 

3,421

 

 

 

 

50,526

Total United States

 

 

 

1,540,935

Total Common Stocks (Cost $1,452,308)

 

 

 

1,598,676

REAL ESTATE INVESTMENT TRUSTS 10.5%

 

 

 

 

UNITED STATES 10.5%

 

 

 

 

REAL ESTATE 10.5%

 

 

 

 

Alexander & Baldwin, Inc.

 

338,236

 

5,828

Apple Hospitality REIT, Inc.

 

654,519

 

8,450

Chimera Investment Corp.

 

927,155

 

11,895

COPT Defense Properties

 

119,528

 

3,260

DiamondRock Hospitality Co.

 

431,990

 

3,335

Douglas Emmett, Inc.

 

223,292

 

3,573

EPR Properties

 

119,553

 

6,290

Essex Property Trust, Inc.

 

26,640

 

8,167

Global Net Lease, Inc.

 

203,799

 

1,639

Highwoods Properties, Inc.

 

149,476

 

4,430

Hudson Pacific Properties, Inc.

 

564,962

 

1,667

JBG SMITH Properties

 

262,348

 

4,226

Ladder Capital Corp.

 

223,202

 

2,547

Macerich Co.

 

271,658

 

4,664

Medical Properties Trust, Inc. (c)

 

4,985,018

 

30,060

MFA Financial, Inc.

 

612,713

 

6,286

National Health Investors, Inc.

 

22,873

 

1,689

Outfront Media, Inc.

 

88,176

 

1,423

Park Hotels & Resorts, Inc.

 

1,610,857

 

17,204

Rithm Capital Corp.

 

1,181,994

 

13,534

RLJ Lodging Trust

 

909,283

 

7,174

Sabra Health Care REIT, Inc.

 

276,214

 

4,825

Service Properties Trust

 

1,670,538

 

4,360

SL Green Realty Corp.

 

312,664

 

18,041

Sunstone Hotel Investors, Inc.

 

383,885

 

3,612

Vornado Realty Trust

 

175,851

 

6,505

Schedule of Investments PIMCO RAE US Small Fund (Cont.)

March 31, 2025 (Unaudited)

 

Xenia Hotels & Resorts, Inc.

 

334,029

 

3,928

 

 

 

 

188,612

Total Real Estate Investment Trusts (Cost $191,988)

 

 

 

188,612

SHORT-TERM INSTRUMENTS 0.0%

 

 

 

 

MUTUAL FUNDS 0.0%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400 (d)

 

330,172

 

330

Total Mutual Funds (Cost $330)

 

 

 

330

Total Short-Term Instruments (Cost $330)

 

 

 

330

Total Investments in Securities (Cost $1,644,626)

 

 

 

1,787,618

INVESTMENTS IN AFFILIATES 2.5%

 

 

 

 

SHORT-TERM INSTRUMENTS 2.5%

 

 

 

 

MUTUAL FUNDS 1.9%

 

 

 

 

PIMCO Government Money Market Fund

4.470% (b)(c)(d)

 

34,712,570

 

34,713

Total Mutual Funds (Cost $34,713)

 

 

 

34,713

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 0.6%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

1,066,209

 

10,378

Total Short-Term Instruments (Cost $45,422)

 

 

 

45,421

Total Investments in Affiliates (Cost $45,092)

 

 

 

45,091

Total Investments 101.7% (Cost $1,689,718)

 

 

$

1,832,709

Other Assets and Liabilities, net (1.7)%

 

 

 

(30,873)

Net Assets 100.0%

 

 

$

1,801,836

Schedule of Investments PIMCO RAE US Small Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

«

Security valued using significant unobservable inputs (Level 3).

(a)

Security did not produce income within the last twelve months.

(b)

Institutional Class Shares of each Fund.

(c)

Securities with an aggregate market value of $33,897 were out on loan in exchange for $34,713 of cash collateral as of March 31, 2025.

(d)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Ireland

 

Health Care

$

4,293

$

0

$

0

$

4,293

 

 

Switzerland

 

Consumer Discretionary

 

5,147

 

0

 

0

 

5,147

 

 

United Kingdom

 

Consumer Discretionary

 

10,943

 

0

 

0

 

10,943

 

 

Consumer Staples

 

2,371

 

0

 

0

 

2,371

 

 

Financials

 

34,987

 

0

 

0

 

34,987

 

 

United States

 

Communication Services

 

63,565

 

0

 

0

 

63,565

 

 

Consumer Discretionary

 

288,380

 

0

 

0

 

288,380

 

 

Consumer Staples

 

97,767

 

0

 

0

 

97,767

 

 

Energy

 

51,322

 

0

 

0

 

51,322

 

 

Financials

 

282,499

 

0

 

0

 

282,499

 

 

Health Care

 

88,623

 

0

 

0

 

88,623

 

 

Industrials

 

330,829

 

0

 

0

 

330,829

 

 

Information Technology

 

166,480

 

0

 

0

 

166,480

 

 

Materials

 

108,971

 

0

 

0

 

108,971

 

 

Real Estate

 

11,973

 

0

 

0

 

11,973

 

 

Utilities

 

50,526

 

0

 

0

 

50,526

 

Real Estate Investment Trusts

 

United States

 

Real Estate

 

188,612

 

0

 

0

 

188,612

 

Short-Term Instruments

 

Mutual Funds

 

0

 

330

 

0

 

330

 

 

$

1,787,288

$

330

$

0

$

1,787,618

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Mutual Funds

 

34,713

 

0

 

0

 

34,713

 

 

Central Funds Used for Cash Management Purposes

 

10,378

 

0

 

0

 

10,378

 

Total Investments

$

1,832,379

$

330

$

0

$

1,832,709

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.4% ¤

 

 

 

 

COMMON STOCKS 97.3%

 

 

 

 

BRAZIL 3.5%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Telefonica Brasil SA

 

18,573

$

162

TIM SA

 

27,700

 

88

 

 

 

 

250

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Vibra Energia SA

 

44,832

 

140

CONSUMER STAPLES 0.9%

 

 

 

 

BRF SA

 

25,858

 

89

JBS SA

 

82,060

 

591

Marfrig Global Foods SA

 

47,600

 

151

Raia Drogasil SA

 

10,359

 

35

 

 

 

 

866

ENERGY 0.1%

 

 

 

 

Ultrapar Participacoes SA

 

27,388

 

82

FINANCIALS 0.3%

 

 

 

 

B3 SA - Brasil Bolsa Balcao

 

62,602

 

133

Banco Santander Brasil SA

 

12,400

 

58

BB Seguridade Participacoes SA

 

7,997

 

56

Porto Seguro SA

 

2,500

 

18

 

 

 

 

265

INDUSTRIALS 0.3%

 

 

 

 

WEG SA

 

35,081

 

278

MATERIALS 1.4%

 

 

 

 

Cia Siderurgica Nacional SA

 

26,577

 

44

Klabin SA

 

41,129

 

135

Suzano SA

 

32,892

 

305

Vale SA

 

90,000

 

894

 

 

 

 

1,378

UTILITIES 0.2%

 

 

 

 

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

 

5,700

 

102

CPFL Energia SA

 

3,700

 

24

Energisa SA

 

7,300

 

51

Engie Brasil Energia SA

 

3,235

 

22

 

 

 

 

199

Total Brazil

 

 

 

3,458

CHILE 0.9%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Empresas Copec SA

 

6,275

 

43

Falabella SA

 

16,226

 

68

 

 

 

 

111

CONSUMER STAPLES 0.2%

 

 

 

 

Cencosud SA

 

46,475

 

142

Cia Cervecerias Unidas SA

 

10,550

 

80

 

 

 

 

222

FINANCIALS 0.4%

 

 

 

 

Banco de Chile

 

1,388,662

 

184

Banco de Credito e Inversiones SA

 

1,126

 

42

Banco Itau Chile SA

 

900

 

12

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Banco Santander Chile

 

2,680,753

 

152

 

 

 

 

390

MATERIALS 0.0%

 

 

 

 

Empresas CMPC SA

 

18,166

 

30

UTILITIES 0.2%

 

 

 

 

Colbun SA

 

399,094

 

56

Enel Americas SA

 

357,295

 

35

Enel Chile SA

 

699,367

 

46

 

 

 

 

137

Total Chile

 

 

 

890

CHINA 28.7%

 

 

 

 

COMMUNICATION SERVICES 1.9%

 

 

 

 

China United Network Communications Ltd. 'A'

 

427,100

 

328

Focus Media Information Technology Co. Ltd. 'A'

 

44,100

 

43

NetEase, Inc.

 

26,715

 

549

Tencent Holdings Ltd.

 

9,800

 

626

Tencent Music Entertainment Group ADR

 

22,794

 

328

 

 

 

 

1,874

CONSUMER DISCRETIONARY 2.7%

 

 

 

 

Alibaba Group Holding Ltd.

 

21,700

 

359

ANTA Sports Products Ltd.

 

13,800

 

152

BAIC Motor Corp. Ltd. 'H'

 

123,000

 

32

China Yongda Automobiles Services Holdings Ltd.

 

104,000

 

36

Dongfeng Motor Group Co. Ltd. 'H'

 

428,000

 

261

Fuyao Glass Industry Group Co. Ltd. 'H'

 

10,400

 

74

Huayu Automotive Systems Co. Ltd. 'A'

 

28,700

 

72

JD.com, Inc. ADR

 

8,486

 

349

Meituan 'B' (a)

 

15,900

 

320

SAIC Motor Corp. Ltd. 'A'

 

112,400

 

245

Shanghai Yuyuan Tourist Mart Group Co. Ltd. 'A'

 

32,400

 

25

Sichuan Changhong Electric Co. Ltd. 'A'

 

25,900

 

37

Tianneng Power International Ltd.

 

12,000

 

11

Topsports International Holdings Ltd.

 

77,000

 

34

Vipshop Holdings Ltd.

 

19,715

 

309

Wuchan Zhongda Group Co. Ltd. 'A'

 

142,500

 

99

Yum China Holdings, Inc.

 

3,900

 

203

 

 

 

 

2,618

CONSUMER STAPLES 1.1%

 

 

 

 

China Feihe Ltd.

 

147,000

 

111

Foshan Haitian Flavouring & Food Co. Ltd. 'A'

 

3,200

 

18

Guangdong Haid Group Co. Ltd. 'A'

 

3,100

 

21

Henan Shuanghui Investment & Development Co. Ltd. 'A'

 

20,000

 

75

Hengan International Group Co. Ltd.

 

23,000

 

64

Kweichow Moutai Co. Ltd. 'A'

 

700

 

151

Luzhou Laojiao Co. Ltd. 'A'

 

1,600

 

29

Muyuan Foods Co. Ltd. 'A'

 

11,800

 

63

New Hope Liuhe Co. Ltd. 'A'

 

26,500

 

34

Nongfu Spring Co. Ltd. 'H'

 

18,200

 

79

Tingyi Cayman Islands Holding Corp.

 

102,000

 

171

Uni-President China Holdings Ltd.

 

54,000

 

62

Wens Foodstuffs Group Co. Ltd. 'A'

 

54,800

 

126

Wuliangye Yibin Co. Ltd. 'A'

 

3,800

 

69

Yonghui Superstores Co. Ltd. 'A'

 

40,000

 

26

 

 

 

 

1,099

ENERGY 1.7%

 

 

 

 

China Petroleum & Chemical Corp. 'H'

 

888,000

 

468

China Shenhua Energy Co. Ltd. 'H'

 

117,500

 

477

Guanghui Energy Co. Ltd. 'A'

 

21,800

 

18

PetroChina Co. Ltd. 'H'

 

356,000

 

289

Shaanxi Coal Industry Co. Ltd. 'A'

 

55,200

 

151

Shanxi Coking Coal Energy Group Co. Ltd. 'A'

 

25,900

 

24

Shanxi Lu'an Environmental Energy Development Co. Ltd. 'A'

 

6,600

 

11

Yankuang Energy Group Co. Ltd. 'H'

 

208,700

 

217

 

 

 

 

1,655

FINANCIALS 9.5%

 

 

 

 

Agricultural Bank of China Ltd. 'H'

 

1,378,000

 

830

Bank of Beijing Co. Ltd. 'A'

 

229,700

 

191

Bank of Changsha Co. Ltd. 'A'

 

44,800

 

57

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Bank of Chengdu Co. Ltd. 'A'

 

23,000

 

55

Bank of China Ltd. 'H'

 

1,644,000

 

993

Bank of Chongqing Co. Ltd. 'H'

 

36,500

 

31

Bank of Communications Co. Ltd. 'H'

 

454,000

 

406

Bank of Guiyang Co. Ltd. 'A'

 

85,600

 

70

Bank of Hangzhou Co. Ltd. 'A'

 

14,600

 

29

Bank of Jiangsu Co. Ltd. 'A'

 

199,000

 

261

Bank of Nanjing Co. Ltd. 'A'

 

83,400

 

119

Bank of Shanghai Co. Ltd. 'A'

 

150,800

 

205

China Cinda Asset Management Co. Ltd. 'H'

 

1,252,000

 

178

China CITIC Bank Corp. Ltd. 'H'

 

498,000

 

391

China Construction Bank Corp. 'H'

 

1,037,000

 

919

China Everbright Bank Co. Ltd. 'H'

 

592,000

 

241

China Galaxy Securities Co. Ltd. 'H'

 

57,000

 

57

China Life Insurance Co. Ltd. 'H'

 

102,000

 

197

China Merchants Bank Co. Ltd. 'H' (a)

 

48,500

 

288

China Merchants Securities Co. Ltd. 'H' (a)

 

13,800

 

24

China Minsheng Banking Corp. Ltd. 'H'

 

1,024,000

 

462

China Pacific Insurance Group Co. Ltd. 'H' (a)

 

33,000

 

104

China Zheshang Bank Co. Ltd. 'H'

 

669,000

 

222

Chongqing Rural Commercial Bank Co. Ltd. 'H'

 

422,000

 

287

CITIC Securities Co. Ltd. 'H' (a)

 

46,000

 

121

CNPC Capital Co. Ltd. 'A'

 

37,300

 

33

CSC Financial Co. Ltd. 'H' (a)

 

15,500

 

19

East Money Information Co. Ltd. (a)

 

32,300

 

101

Guosen Securities Co. Ltd. 'A'

 

39,200

 

55

Guotai Junan Securities Co. Ltd. 'H' (a)

 

18,160

 

26

Huatai Securities Co. Ltd. 'H' (a)

 

28,000

 

45

Huaxia Bank Co. Ltd. 'A'

 

114,800

 

124

Industrial & Commercial Bank of China Ltd. 'H'

 

1,266,000

 

903

Industrial Bank Co. Ltd. 'A'

 

54,400

 

162

Lufax Holding Ltd. ADR

 

31,436

 

93

New China Life Insurance Co. Ltd. 'H' (a)

 

10,900

 

42

Orient Securities Co. Ltd.'H' (a)

 

14,800

 

9

People's Insurance Co. Group of China Ltd. 'H'

 

21,000

 

11

Ping An Insurance Group Co. of China Ltd. 'H'

 

137,500

 

821

Shanghai Pudong Development Bank Co. Ltd. 'A'

 

96,400

 

139

Shanghai Rural Commercial Bank Co. Ltd. 'A'

 

26,000

 

30

 

 

 

 

9,351

HEALTH CARE 0.7%

 

 

 

 

China Resources Pharmaceutical Group Ltd.

 

126,500

 

82

CSPC Pharmaceutical Group Ltd.

 

267,680

 

170

Jiangsu Hengrui Pharmaceuticals Co. Ltd. 'A'

 

3,800

 

26

Jointown Pharmaceutical Group Co. Ltd. 'A'

 

41,943

 

29

Shanghai Pharmaceuticals Holding Co. Ltd. 'H' (a)

 

7,000

 

10

Shenzhen Mindray Bio-Medical Electronics Co. Ltd. 'A'

 

1,800

 

58

Sinopharm Group Co. Ltd. 'H'

 

80,400

 

187

WuXi AppTec Co. Ltd. 'H'

 

8,000

 

72

Yunnan Baiyao Group Co. Ltd. 'A'

 

9,500

 

74

 

 

 

 

708

INDUSTRIALS 3.6%

 

 

 

 

AECC Aviation Power Co. Ltd. 'A'

 

9,600

 

48

Bohai Leasing Co. Ltd. 'A' (a)

 

88,400

 

41

China Communications Services Corp. Ltd. 'H'

 

112,000

 

61

China CSSC Holdings Ltd. 'A'

 

17,500

 

74

China International Marine Containers Group Co. Ltd. 'H'

 

79,600

 

58

China Lesso Group Holdings Ltd. 'L'

 

39,000

 

17

China Merchants Expressway Network & Technology Holdings Co. Ltd. 'A'

 

6,400

 

12

China Railway Group Ltd. 'H'

 

456,000

 

202

China State Construction Engineering Corp. Ltd. 'A'

 

481,700

 

350

China Tower Corp. Ltd. 'H"

 

43,300

 

58

CITIC Ltd.

 

229,000

 

283

Contemporary Amperex Technology Co. Ltd. 'A'

 

5,500

 

192

COSCO SHIPPING Holdings Co. Ltd. 'H'

 

284,000

 

448

Daqin Railway Co. Ltd. 'A'

 

214,900

 

194

Fosun International Ltd.

 

47,000

 

25

JD Logistics, Inc. (a)

 

11,600

 

19

Jiangsu Expressway Co. Ltd. 'H'

 

90,000

 

107

Jiangsu Zhongtian Technology Co. Ltd. 'A'

 

21,900

 

44

Metallurgical Corp. of China Ltd. 'H'

 

478,000

 

95

NARI Technology Co. Ltd. 'A'

 

15,600

 

47

Power Construction Corp. of China Ltd. 'A'

 

215,900

 

143

Qingdao Port International Co. Ltd.

 

43,000

 

36

Sany Heavy Industry Co. Ltd. 'A'

 

45,000

 

119

Shanghai Construction Group Co. Ltd. 'A'

 

183,300

 

64

Shanghai Electric Group Co. Ltd. 'H'

 

28,000

 

9

Shanghai International Port Group Co. Ltd. 'A'

 

24,100

 

19

Shanghai Tunnel Engineering Co. Ltd. 'A'

 

86,900

 

75

Sichuan Road & Bridge Group Co. Ltd. 'A'

 

14,780

 

16

Sinopec Engineering Group Co. Ltd. 'H'

 

69,000

 

49

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Sinotrans Ltd. 'H'

 

123,000

 

59

Sinotruk Hong Kong Ltd.

 

45,000

 

122

TBEA Co. Ltd. 'A'

 

25,890

 

43

Xiamen C & D, Inc. 'A'

 

66,400

 

95

Xiamen ITG Group Corp. Ltd. 'A'

 

67,400

 

59

Yutong Bus Co Ltd. 'A'

 

7,700

 

28

Zhejiang Chint Electrics Co. Ltd. 'A'

 

15,900

 

52

Zhejiang Expressway Co. Ltd. 'H'

 

148,000

 

121

 

 

 

 

3,484

INFORMATION TECHNOLOGY 2.0%

 

 

 

 

360 Security Technology, Inc. 'A'

 

33,200

 

48

AAC Technologies Holdings, Inc.

 

27,500

 

168

Avary Holding Shenzhen Co. Ltd. 'A'

 

24,900

 

125

BYD Electronic International Co. Ltd.

 

8,000

 

42

China Railway Signal & Communication Corp. Ltd. 'H'

 

235,000

 

97

Foxconn Industrial Internet Co. Ltd. 'A'

 

47,900

 

134

IEIT Systems Co. Ltd.

 

2,900

 

21

JCET Group Co. Ltd. 'A'

 

4,600

 

22

Lenovo Group Ltd.

 

364,000

 

495

Lens Technology Co. Ltd. 'A' (a)

 

5,700

 

20

Luxshare Precision Industry Co. Ltd. 'A'

 

11,900

 

67

Sunny Optical Technology Group Co. Ltd.

 

27,000

 

249

Tianma Microelectronics Co. Ltd. 'A'

 

35,300

 

40

Xiaomi Corp. 'B' (a)

 

58,600

 

371

ZTE Corp. 'H'

 

14,200

 

44

 

 

 

 

1,943

MATERIALS 2.5%

 

 

 

 

Aluminum Corp. of China Ltd. 'H'

 

440,000

 

276

Angang Steel Co. Ltd. 'H'

 

148,000

 

33

Anhui Conch Cement Co. Ltd. 'H'

 

108,000

 

305

Baoshan Iron & Steel Co. Ltd. 'A'

 

192,000

 

191

BBMG Corp. 'H'

 

176,000

 

17

China Hongqiao Group Ltd.

 

323,500

 

669

China National Building Material Co. Ltd. 'H'

 

390,000

 

201

Hengli Petrochemical Co. Ltd. 'A'

 

18,000

 

38

Huaxin Cement Co. Ltd. 'H'

 

21,400

 

27

Hunan Valin Steel Co. Ltd. 'A'

 

75,400

 

52

Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. 'A'

 

44,000

 

33

Jiangxi Copper Co. Ltd. 'H'

 

146,000

 

257

Luxi Chemical Group Co. Ltd. 'A'

 

16,900

 

28

Maanshan Iron & Steel Co. Ltd. 'H'

 

84,000

 

20

Nanjing Iron & Steel Co. Ltd. 'A'

 

72,300

 

46

Ningxia Baofeng Energy Group Co. Ltd. 'A'

 

21,600

 

43

Sinopec Shanghai Petrochemical Co. Ltd. 'H'

 

188,000

 

29

Tongling Nonferrous Metals Group Co. Ltd. 'A'

 

99,700

 

47

Yunnan Aluminium Co. Ltd. 'A' (a)

 

8,700

 

21

Zhejiang NHU Co. Ltd. 'A'

 

8,300

 

26

Zhongjin Gold Corp. Ltd. 'A'

 

18,700

 

37

 

 

 

 

2,396

REAL ESTATE 1.3%

 

 

 

 

China Merchants Shekou Industrial Zone Holdings Co. Ltd. 'A'

 

31,300

 

40

China Vanke Co. Ltd. 'H'

 

806,900

 

575

Gemdale Corp. 'A'

 

31,000

 

19

Greentown China Holdings Ltd.

 

89,500

 

127

Guangzhou R&F Properties Co. Ltd. 'H'

 

271,600

 

37

Longfor Group Holdings Ltd.

 

138,500

 

175

Seazen Group Ltd.

 

338,000

 

88

Seazen Holdings Co. Ltd. 'A'

 

30,100

 

52

Shenzhen Overseas Chinese Town Co. Ltd. 'A'

 

41,500

 

14

Sunac China Holdings Ltd. (a)

 

536,000

 

107

Youngor Group Co. Ltd. 'A'

 

43,200

 

48

 

 

 

 

1,282

UTILITIES 1.7%

 

 

 

 

CGN Power Co. Ltd. 'H'

 

1,370,000

 

429

China National Nuclear Power Co. Ltd. 'A'

 

194,900

 

248

China Yangtze Power Co. Ltd. 'A'

 

99,100

 

380

ENN Energy Holdings Ltd.

 

36,500

 

302

GD Power Development Co. Ltd. 'A'

 

271,400

 

166

Huadian Power International Corp. Ltd. 'H'

 

72,000

 

42

Huaneng Lancang River Hydropower, Inc. 'A'

 

53,500

 

67

SDIC Power Holdings Co. Ltd. 'A'

 

12,600

 

25

Shenergy Co. Ltd. 'A'

 

10,300

 

13

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Zhejiang Zheneng Electric Power Co. Ltd. 'A'

 

24,400

 

19

 

 

 

 

1,691

Total China

 

 

 

28,101

GREECE 0.5%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Hellenic Telecommunications Organization SA

 

6,094

 

99

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

JUMBO SA

 

1,965

 

54

OPAP SA

 

3,593

 

71

 

 

 

 

125

ENERGY 0.0%

 

 

 

 

Motor Oil Hellas Corinth Refineries SA

 

737

 

18

FINANCIALS 0.2%

 

 

 

 

Eurobank Ergasias Services & Holdings SA 'A'

 

36,904

 

100

National Bank of Greece SA

 

11,298

 

116

 

 

 

 

216

INDUSTRIALS 0.1%

 

 

 

 

Star Bulk Carriers Corp.

 

2,649

 

41

Total Greece

 

 

 

499

HONG KONG 2.3%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Geely Automobile Holdings Ltd.

 

69,000

 

148

FINANCIALS 0.6%

 

 

 

 

BOC Hong Kong Holdings Ltd.

 

104,000

 

421

China Taiping Insurance Holdings Co. Ltd.

 

100,200

 

152

Far East Horizon Ltd.

 

68,000

 

56

 

 

 

 

629

INDUSTRIALS 0.4%

 

 

 

 

China Everbright Environment Group Ltd.

 

222,000

 

98

China Merchants Port Holdings Co. Ltd.

 

6,000

 

10

Orient Overseas International Ltd.

 

10,500

 

155

Shanghai Industrial Holdings Ltd.

 

23,000

 

35

Shenzhen International Holdings Ltd.

 

60,000

 

61

 

 

 

 

359

MATERIALS 0.0%

 

 

 

 

China Resources Building Materials Technology Holdings Ltd.

 

62,000

 

14

REAL ESTATE 0.6%

 

 

 

 

China Jinmao Holdings Group Ltd.

 

748,000

 

122

China Overseas Land & Investment Ltd.

 

271,000

 

485

 

 

 

 

607

UTILITIES 0.6%

 

 

 

 

Beijing Enterprises Holdings Ltd.

 

28,000

 

106

Beijing Enterprises Water Group Ltd.

 

38,000

 

11

China Resources Gas Group Ltd.

 

44,300

 

132

Guangdong Investment Ltd.

 

168,000

 

124

Kunlun Energy Co. Ltd.

 

176,000

 

172

 

 

 

 

545

Total Hong Kong

 

 

 

2,302

INDIA 15.5%

 

 

 

 

COMMUNICATION SERVICES 1.2%

 

 

 

 

Bharti Airtel Ltd.

 

47,776

 

966

Indus Towers Ltd. (a)

 

42,460

 

165

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Info Edge India Ltd.

 

540

 

45

 

 

 

 

1,176

CONSUMER DISCRETIONARY 1.2%

 

 

 

 

Bajaj Auto Ltd.

 

2,363

 

217

Eicher Motors Ltd.

 

1,287

 

80

Exide Industries Ltd.

 

5,185

 

22

Hero MotoCorp Ltd.

 

3,739

 

162

Mahindra & Mahindra Ltd.

 

11,418

 

354

Rajesh Exports Ltd.

 

14,587

 

32

Samvardhana Motherson International Ltd.

 

26,097

 

40

Zomato Ltd. (a)

 

87,364

 

205

 

 

 

 

1,112

CONSUMER STAPLES 1.2%

 

 

 

 

Britannia Industries Ltd.

 

705

 

41

Colgate-Palmolive India Ltd.

 

2,589

 

72

Dabur India Ltd.

 

3,957

 

23

Godrej Consumer Products Ltd.

 

3,357

 

45

Hindustan Unilever Ltd.

 

8,694

 

230

ITC Ltd.

 

136,326

 

651

Marico Ltd.

 

6,096

 

46

Nestle India Ltd.

 

1,019

 

27

Patanjali Foods Ltd.

 

504

 

11

United Spirits Ltd.

 

1,874

 

31

 

 

 

 

1,177

ENERGY 1.3%

 

 

 

 

Bharat Petroleum Corp. Ltd.

 

115,945

 

375

Coal India Ltd.

 

36,252

 

168

Hindustan Petroleum Corp. Ltd.

 

42,336

 

177

Indian Oil Corp. Ltd.

 

105,122

 

156

Oil & Natural Gas Corp. Ltd.

 

72,936

 

210

Oil India Ltd.

 

17,280

 

78

Petronet LNG Ltd.

 

37,679

 

129

 

 

 

 

1,293

FINANCIALS 2.5%

 

 

 

 

Bajaj Finance Ltd.

 

2,608

 

272

Bajaj Holdings & Investment Ltd.

 

200

 

29

Cholamandalam Financial Holdings Ltd.

 

2,096

 

43

Cholamandalam Investment & Finance Co. Ltd.

 

2,926

 

52

Federal Bank Ltd.

 

27,609

 

62

HDFC Asset Management Co. Ltd.

 

1,237

 

58

HDFC Bank Ltd.

 

56,745

 

1,210

ICICI Lombard General Insurance Co. Ltd.

 

2,461

 

51

ICICI Prudential Life Insurance Co. Ltd.

 

3,235

 

21

Indian Railway Finance Corp. Ltd.

 

44,261

 

64

Muthoot Finance Ltd.

 

1,670

 

46

Power Finance Corp. Ltd.

 

56,196

 

270

Sammaan Capital Ltd.

 

65,660

 

82

SBI Cards & Payment Services Ltd.

 

1,076

 

11

Shriram Finance Ltd.

 

22,550

 

172

Sundaram Finance Ltd.

 

704

 

38

 

 

 

 

2,481

HEALTH CARE 1.3%

 

 

 

 

Alkem Laboratories Ltd.

 

403

 

23

Apollo Hospitals Enterprise Ltd.

 

837

 

65

Biocon Ltd.

 

2,422

 

10

Cipla Ltd.

 

7,765

 

131

Divi's Laboratories Ltd.

 

2,333

 

157

Dr. Reddy's Laboratories Ltd.

 

7,205

 

96

Glenmark Pharmaceuticals Ltd.

 

2,281

 

41

Ipca Laboratories Ltd.

 

1,204

 

21

Lupin Ltd.

 

6,254

 

148

Mankind Pharma Ltd. (a)

 

863

 

24

Sun Pharmaceutical Industries Ltd.

 

18,561

 

376

Torrent Pharmaceuticals Ltd.

 

2,238

 

84

Zydus Lifesciences Ltd.

 

5,906

 

61

 

 

 

 

1,237

INDUSTRIALS 0.7%

 

 

 

 

Amara Raja Energy & Mobility Ltd.

 

638

 

7

Ashok Leyland Ltd.

 

24,039

 

57

Bharat Electronics Ltd.

 

52,255

 

183

Hindustan Aeronautics Ltd.

 

3,604

 

175

InterGlobe Aviation Ltd. (a)

 

2,156

 

129

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Rail Vikas Nigam Ltd.

 

7,133

 

29

Siemens Ltd.

 

1,177

 

72

Voltas Ltd.

 

2,982

 

51

 

 

 

 

703

INFORMATION TECHNOLOGY 3.3%

 

 

 

 

Coforge Ltd.

 

737

 

69

HCL Technologies Ltd.

 

26,037

 

482

Infosys Ltd.

 

69,103

 

1,266

LTIMindtree Ltd.

 

446

 

23

Mphasis Ltd.

 

1,444

 

42

Oracle Financial Services Software Ltd.

 

878

 

80

Persistent Systems Ltd.

 

818

 

53

Redington Ltd.

 

19,323

 

55

Tata Consultancy Services Ltd.

 

18,421

 

775

Tech Mahindra Ltd.

 

15,640

 

258

Wipro Ltd.

 

32,755

 

100

 

 

 

 

3,203

MATERIALS 1.7%

 

 

 

 

Asian Paints Ltd.

 

1,280

 

35

Castrol India Ltd.

 

8,404

 

20

Chambal Fertilisers & Chemicals Ltd.

 

1,632

 

12

Coromandel International Ltd.

 

2,282

 

53

Grasim Industries Ltd.

 

4,270

 

130

Hindalco Industries Ltd.

 

18,246

 

145

Jindal Steel & Power Ltd.

 

9,265

 

98

JSW Steel Ltd.

 

6,247

 

77

National Aluminium Co. Ltd.

 

49,784

 

101

NMDC Ltd.

 

95,040

 

76

Steel Authority of India Ltd.

 

93,800

 

125

Supreme Industries Ltd.

 

962

 

38

Tata Steel Ltd.

 

156,998

 

281

UltraTech Cement Ltd.

 

901

 

121

UPL Ltd.

 

1,598

 

12

Vedanta Ltd.

 

66,829

 

360

 

 

 

 

1,684

REAL ESTATE 0.0%

 

 

 

 

Oberoi Realty Ltd.

 

1,617

 

31

UTILITIES 1.1%

 

 

 

 

Gujarat State Petronet Ltd.

 

6,829

 

23

NHPC Ltd.

 

93,616

 

89

NTPC Ltd.

 

108,570

 

451

Power Grid Corp. of India Ltd.

 

133,681

 

452

PTC India Ltd.

 

16,092

 

31

Reliance Power Ltd. (a)

 

123,169

 

62

 

 

 

 

1,108

Total India

 

 

 

15,205

INDONESIA 0.8%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Telkom Indonesia Persero Tbk PT

 

1,325,000

 

192

CONSUMER STAPLES 0.1%

 

 

 

 

Indofood CBP Sukses Makmur Tbk PT

 

58,600

 

36

Indofood Sukses Makmur Tbk PT

 

28,200

 

12

Japfa Comfeed Indonesia Tbk PT

 

87,300

 

11

Sumber Alfaria Trijaya Tbk PT

 

302,500

 

37

 

 

 

 

96

ENERGY 0.2%

 

 

 

 

Adaro Energy Indonesia Tbk PT

 

556,000

 

62

Dian Swastatika Sentosa Tbk PT (a)

 

13,900

 

36

Indo Tambangraya Megah Tbk PT

 

22,500

 

31

United Tractors Tbk PT

 

30,300

 

43

 

 

 

 

172

FINANCIALS 0.2%

 

 

 

 

Bank Central Asia Tbk PT

 

417,500

 

214

HEALTH CARE 0.0%

 

 

 

 

Kalbe Farma Tbk PT

 

406,200

 

28

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

MATERIALS 0.1%

 

 

 

 

Chandra Asri Petrochemical Tbk PT

 

126,000

 

55

UTILITIES 0.0%

 

 

 

 

Perusahaan Gas Negara Tbk PT

 

105,200

 

10

Total Indonesia

 

 

 

767

KUWAIT 0.6%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Mobile Telecommunications Co. KSCP

 

33,058

 

52

FINANCIALS 0.5%

 

 

 

 

Al Ahli Bank of Kuwait KSCP

 

3,970

 

4

Boubyan Bank KSCP

 

11,042

 

24

Gulf Bank KSCP

 

59,773

 

69

Kuwait Finance House KSCP

 

108,512

 

279

National Bank of Kuwait SAKP

 

50,020

 

170

 

 

 

 

546

INDUSTRIALS 0.0%

 

 

 

 

National Industries Group Holding SAK

 

6,101

 

5

REAL ESTATE 0.0%

 

 

 

 

Mabanee Co. KPSC

 

1,640

 

4

Total Kuwait

 

 

 

607

MALAYSIA 2.1%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Axiata Group Bhd

 

45,900

 

19

Maxis Bhd

 

37,200

 

28

Telekom Malaysia Bhd

 

37,300

 

55

 

 

 

 

102

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Genting Bhd

 

48,000

 

35

Genting Malaysia Bhd

 

100,500

 

38

 

 

 

 

73

CONSUMER STAPLES 0.1%

 

 

 

 

IOI Corp. Bhd

 

28,800

 

24

Kuala Lumpur Kepong Bhd

 

7,300

 

34

PPB Group Bhd

 

7,000

 

18

SD Guthrie Bhd

 

31,600

 

35

United Plantations Bhd

 

2,000

 

10

 

 

 

 

121

FINANCIALS 0.8%

 

 

 

 

AMMB Holdings Bhd

 

51,000

 

64

CIMB Group Holdings Bhd

 

184,200

 

292

Hong Leong Bank Bhd

 

11,600

 

53

Malayan Banking Bhd

 

111,700

 

255

Public Bank Bhd.

 

115,800

 

116

RHB Bank Bhd

 

40,500

 

62

 

 

 

 

842

HEALTH CARE 0.2%

 

 

 

 

Hartalega Holdings Bhd

 

103,000

 

44

IHH Healthcare Bhd

 

17,800

 

28

Kossan Rubber Industries Bhd

 

16,400

 

6

Top Glove Corp. Bhd (a)

 

442,800

 

81

 

 

 

 

159

INDUSTRIALS 0.3%

 

 

 

 

Capital A Bhd (a)

 

201,300

 

37

Gamuda Bhd

 

97,600

 

93

IJM Corp. Bhd

 

37,100

 

18

MISC Bhd

 

20,400

 

33

Sime Darby Bhd

 

163,800

 

82

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Sunway Bhd

 

55,700

 

57

 

 

 

 

320

MATERIALS 0.1%

 

 

 

 

Petronas Chemicals Group Bhd

 

60,600

 

50

Press Metal Aluminium Holdings Bhd

 

21,000

 

24

 

 

 

 

74

UTILITIES 0.4%

 

 

 

 

Petronas Gas Bhd

 

5,200

 

20

Tenaga Nasional Bhd

 

87,500

 

264

YTL Corp. Bhd

 

169,400

 

77

YTL Power International Bhd

 

34,400

 

26

 

 

 

 

387

Total Malaysia

 

 

 

2,078

MEXICO 2.1%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

America Movil SAB. de CV 'B'

 

233,600

 

166

Grupo Televisa SAB

 

108,863

 

38

Megacable Holdings SAB de CV

 

12,334

 

26

 

 

 

 

230

CONSUMER STAPLES 1.3%

 

 

 

 

Arca Continental SAB de CV

 

17,033

 

178

Coca-Cola Femsa SAB de CV

 

16,068

 

147

Fomento Economico Mexicano SAB de CV

 

26,189

 

256

Gruma SAB de CV 'B'

 

4,302

 

78

Grupo Bimbo SAB de CV 'A'

 

18,189

 

49

Kimberly-Clark de Mexico SAB de CV 'A'

 

46,717

 

76

Wal-Mart de Mexico SAB de CV

 

168,790

 

465

 

 

 

 

1,249

INDUSTRIALS 0.2%

 

 

 

 

Alfa SAB de CV 'A'

 

143,346

 

112

Grupo Aeroportuario del Sureste SAB de CV 'B'

 

1,855

 

51

 

 

 

 

163

MATERIALS 0.4%

 

 

 

 

Grupo Mexico SAB de CV 'B'

 

72,280

 

361

Industrias Penoles SAB de CV (a)

 

700

 

13

Orbia Advance Corp. SAB de CV

 

34,338

 

26

 

 

 

 

400

Total Mexico

 

 

 

2,042

NETHERLANDS 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

NEPI Rockcastle NV

 

6,704

 

48

Total Netherlands

 

 

 

48

PHILIPPINES 0.2%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

PLDT, Inc.

 

2,295

 

51

CONSUMER STAPLES 0.0%

 

 

 

 

Universal Robina Corp.

 

13,850

 

17

FINANCIALS 0.0%

 

 

 

 

Bank of the Philippine Islands

 

4,850

 

11

Metropolitan Bank & Trust Co.

 

15,940

 

21

 

 

 

 

32

INDUSTRIALS 0.1%

 

 

 

 

International Container Terminal Services, Inc.

 

13,770

 

85

UTILITIES 0.0%

 

 

 

 

Manila Electric Co.

 

3,100

 

30

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Total Philippines

 

 

 

215

POLAND 0.7%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Cyfrowy Polsat SA

 

19,114

 

75

Orange Polska SA

 

17,822

 

40

 

 

 

 

115

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

LPP SA

 

6

 

28

FINANCIALS 0.2%

 

 

 

 

Powszechna Kasa Oszczednosci Bank Polski SA

 

10,358

 

202

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

Asseco Poland SA

 

2,182

 

89

MATERIALS 0.1%

 

 

 

 

KGHM Polska Miedz SA

 

918

 

30

UTILITIES 0.2%

 

 

 

 

Enea SA (a)

 

11,339

 

45

PGE Polska Grupa Energetyczna SA (a)

 

30,913

 

63

Tauron Polska Energia SA (a)

 

52,054

 

67

 

 

 

 

175

Total Poland

 

 

 

639

QATAR 0.5%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Ooredoo QPSC

 

11,948

 

39

ENERGY 0.1%

 

 

 

 

Qatar Fuel QSC

 

2,515

 

10

Qatar Gas Transport Co. Ltd.

 

23,384

 

30

 

 

 

 

40

FINANCIALS 0.3%

 

 

 

 

Al Rayan Bank

 

90,514

 

56

Commercial Bank PSQC

 

9,852

 

11

Doha Bank QPSC

 

67,003

 

35

Qatar Islamic Bank QPSC

 

11,863

 

67

Qatar National Bank QPSC

 

32,610

 

144

 

 

 

 

313

INDUSTRIALS 0.1%

 

 

 

 

Industries Qatar QSC

 

23,926

 

85

REAL ESTATE 0.0%

 

 

 

 

Barwa Real Estate Co.

 

55,219

 

40

UTILITIES 0.0%

 

 

 

 

Qatar Electricity & Water Co. QSC

 

2,341

 

10

Total Qatar

 

 

 

527

RUSSIA 0.0%

 

 

 

 

ENERGY 0.0%

 

 

 

 

Gazprom Neft PJSC

 

13,620

 

0

Gazprom PJSC (a)

 

635,130

 

0

LUKOIL PJSC

 

15,703

 

0

Novatek PJSC

 

21,924

 

0

Rosneft Oil Co. PJSC

 

66,050

 

0

Surgutneftegas PJSC

 

701,700

 

0

Tatneft PJSC

 

19,086

 

0

 

 

 

 

0

FINANCIALS 0.0%

 

 

 

 

Sberbank of Russia PJSC

 

117,340

 

0

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

VTB Bank PJSC (a)

 

119,798

 

0

 

 

 

 

0

MATERIALS 0.0%

 

 

 

 

GMK Norilskiy Nickel PAO (a)

 

126,900

 

0

Magnitogorsk Iron & Steel Works PJSC

 

160,600

 

0

Novolipetsk Steel PJSC

 

88,470

 

0

Severstal PAO

 

17,344

 

0

 

 

 

 

0

UTILITIES 0.0%

 

 

 

 

Federal Grid Co. - Rosseti PJSC (a)

 

22,174,692

 

0

Inter RAO UES PJSC

 

1,587,500

 

0

 

 

 

 

0

Total Russia

 

 

 

0

SAUDI ARABIA 2.6%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

Mobile Telecommunications Co. Saudi Arabia

 

3,684

 

11

Saudi Telecom Co.

 

36,357

 

440

 

 

 

 

451

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Jarir Marketing Co.

 

11,272

 

39

CONSUMER STAPLES 0.1%

 

 

 

 

Abdullah Al Othaim Markets Co.

 

5,002

 

13

Almarai Co. JSC

 

5,999

 

88

Savola Group

 

1,620

 

13

 

 

 

 

114

ENERGY 0.7%

 

 

 

 

Saudi Arabian Oil Co.

 

95,868

 

683

FINANCIALS 0.7%

 

 

 

 

Al Rajhi Bank

 

18,776

 

510

Arab National Bank

 

4,972

 

30

Bank Al-Jazira (a)

 

5,737

 

27

Bupa Arabia for Cooperative Insurance Co.

 

1,075

 

51

Saudi Investment Bank

 

10,408

 

40

 

 

 

 

658

HEALTH CARE 0.0%

 

 

 

 

Dr. Sulaiman Al Habib Medical Services Group Co.

 

333

 

25

MATERIALS 0.4%

 

 

 

 

Advanced Petrochemical Co. (a)

 

2,227

 

18

SABIC Agri-Nutrients Co.

 

1,254

 

35

Sahara International Petrochemical Co.

 

5,152

 

29

Saudi Basic Industries Corp.

 

15,557

 

264

Saudi Cement Co.

 

957

 

12

Yanbu National Petrochemical Co.

 

7,401

 

68

 

 

 

 

426

REAL ESTATE 0.1%

 

 

 

 

Arabian Centres Co.

 

6,404

 

35

Dar Al Arkan Real Estate Development Co. (a)

 

5,608

 

32

 

 

 

 

67

UTILITIES 0.1%

 

 

 

 

Saudi Electricity Co.

 

10,854

 

46

 

 

 

 

46

Total Saudi Arabia

 

 

 

2,509

SINGAPORE 0.3%

 

 

 

 

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Trip.com Group Ltd.

 

4,800

 

305

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Total Singapore

 

 

 

305

SOUTH AFRICA 4.1%

 

 

 

 

COMMUNICATION SERVICES 0.6%

 

 

 

 

MTN Group Ltd.

 

66,242

 

445

MultiChoice Group

 

13,315

 

80

Telkom SA SOC Ltd. (a)

 

6,688

 

13

Vodacom Group Ltd.

 

13,492

 

93

 

 

 

 

631

CONSUMER DISCRETIONARY 0.6%

 

 

 

 

Foschini Group Ltd.

 

3,333

 

23

Motus Holdings Ltd.

 

5,938

 

28

Mr. Price Group Ltd.

 

7,265

 

88

Naspers Ltd. 'N'

 

1,416

 

351

Woolworths Holdings Ltd.

 

18,704

 

52

 

 

 

 

542

CONSUMER STAPLES 0.5%

 

 

 

 

Bid Corp. Ltd.

 

5,239

 

125

Shoprite Holdings Ltd.

 

14,189

 

212

SPAR Group Ltd. (a)

 

11,606

 

75

Tiger Brands Ltd.

 

4,539

 

69

 

 

 

 

481

ENERGY 0.1%

 

 

 

 

Exxaro Resources Ltd.

 

10,587

 

86

FINANCIALS 0.8%

 

 

 

 

Absa Group Ltd.

 

8,237

 

79

Capitec Bank Holdings Ltd.

 

1,256

 

214

Discovery Ltd.

 

7,199

 

78

FirstRand Ltd.

 

83,110

 

327

Momentum Group Ltd.

 

6,436

 

11

Nedbank Group Ltd.

 

5,158

 

72

 

 

 

 

781

HEALTH CARE 0.1%

 

 

 

 

Aspen Pharmacare Holdings Ltd.

 

8,601

 

77

Life Healthcare Group Holdings Ltd.

 

38,291

 

29

 

 

 

 

106

INDUSTRIALS 0.1%

 

 

 

 

Bidvest Group Ltd.

 

7,530

 

97

MATERIALS 1.3%

 

 

 

 

African Rainbow Minerals Ltd.

 

2,643

 

21

Anglo American Platinum Ltd.

 

2,510

 

101

Gold Fields Ltd.

 

19,268

 

425

Harmony Gold Mining Co. Ltd.

 

7,042

 

103

Impala Platinum Holdings Ltd.

 

44,151

 

304

Kumba Iron Ore Ltd.

 

2,812

 

48

Sappi Ltd.

 

27,076

 

54

Sasol Ltd.

 

16,248

 

68

Sibanye Stillwater Ltd.

 

123,654

 

141

 

 

 

 

1,265

Total South Africa

 

 

 

3,989

SOUTH KOREA 8.5%

 

 

 

 

COMMUNICATION SERVICES 0.8%

 

 

 

 

KT Corp.

 

10,049

 

339

LG Uplus Corp.

 

9,348

 

65

NAVER Corp.

 

1,250

 

163

SK Telecom Co. Ltd.

 

6,764

 

255

 

 

 

 

822

CONSUMER DISCRETIONARY 1.5%

 

 

 

 

Coway Co. Ltd.

 

1,955

 

108

Hankook Tire & Technology Co. Ltd.

 

2,164

 

58

HL Mando Co. Ltd.

 

1,528

 

40

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Hyundai Mobis Co. Ltd.

 

1,735

 

309

Hyundai Motor Co.

 

2,899

 

392

Kia Corp.

 

3,431

 

217

LG Electronics, Inc.

 

4,537

 

239

Lotte Shopping Co. Ltd.

 

794

 

33

Shinsegae, Inc.

 

218

 

20

 

 

 

 

1,416

CONSUMER STAPLES 0.4%

 

 

 

 

CJ CheilJedang Corp.

 

487

 

82

E-MART, Inc.

 

1,450

 

80

GS Retail Co. Ltd.

 

716

 

7

KT&G Corp.

 

2,633

 

181

LG H&H Co. Ltd.

 

302

 

65

 

 

 

 

415

ENERGY 0.2%

 

 

 

 

HD Hyundai Co. Ltd.

 

1,493

 

74

S-Oil Corp.

 

1,092

 

41

SK Innovation Co. Ltd.

 

1,504

 

116

 

 

 

 

231

FINANCIALS 2.2%

 

 

 

 

BNK Financial Group, Inc.

 

15,356

 

108

DB Insurance Co. Ltd.

 

1,695

 

102

Hana Financial Group, Inc.

 

8,737

 

357

Hanwha Life Insurance Co. Ltd.

 

13,954

 

24

Hyundai Marine & Fire Insurance Co. Ltd.

 

4,139

 

62

Industrial Bank of Korea

 

9,764

 

95

KB Financial Group, Inc.

 

5,379

 

292

Korea Investment Holdings Co. Ltd.

 

420

 

21

Meritz Financial Group, Inc.

 

1,672

 

140

Mirae Asset Securities Co. Ltd.

 

1,826

 

11

NH Investment & Securities Co. Ltd. 'C'

 

1,257

 

12

Samsung Card Co. Ltd.

 

693

 

19

Samsung Fire & Marine Insurance Co. Ltd.

 

1,136

 

277

Samsung Life Insurance Co. Ltd.

 

1,613

 

91

Shinhan Financial Group Co. Ltd.

 

11,139

 

356

Woori Financial Group, Inc.

 

17,087

 

193

 

 

 

 

2,160

INDUSTRIALS 1.4%

 

 

 

 

CJ Corp.

 

951

 

76

CJ Logistics Corp.

 

790

 

46

Daewoo Engineering & Construction Co. Ltd. (a)

 

12,774

 

27

DL E&C Co. Ltd.

 

2,168

 

62

Doosan Co. Ltd.

 

1,096

 

220

Doosan Enerbility Co. Ltd. (a)

 

3,884

 

62

GS Engineering & Construction Corp.

 

4,882

 

57

GS Holdings Corp.

 

992

 

25

Hanwha Corp.

 

3,269

 

92

HD Korea Shipbuilding & Offshore Engineering Co. Ltd.

 

673

 

93

HMM Co. Ltd.

 

3,091

 

41

Hyundai Engineering & Construction Co. Ltd.

 

4,238

 

104

Hyundai Glovis Co. Ltd.

 

1,394

 

107

LG Corp.

 

1,611

 

71

Lotte Corp.

 

1,389

 

20

LS Corp.

 

710

 

52

LX International Corp.

 

2,407

 

41

Posco International Corp.

 

852

 

29

SK, Inc.

 

1,103

 

98

 

 

 

 

1,323

INFORMATION TECHNOLOGY 1.0%

 

 

 

 

LG Display Co. Ltd.

 

14,615

 

88

Samsung Electro-Mechanics Co. Ltd.

 

1,155

 

102

SK Hynix, Inc.

 

5,917

 

789

 

 

 

 

979

MATERIALS 0.7%

 

 

 

 

Hyundai Steel Co.

 

5,001

 

85

KCC Corp.

 

272

 

47

Korea Zinc Co. Ltd.

 

303

 

160

Kumho Petrochemical Co. Ltd.

 

471

 

39

Lotte Chemical Corp.

 

1,200

 

54

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Posco Holdings, Inc.

 

1,316

 

251

 

 

 

 

636

UTILITIES 0.3%

 

 

 

 

Korea Electric Power Corp.

 

17,583

 

259

Korea Gas Corp.

 

2,280

 

56

 

 

 

 

315

Total South Korea

 

 

 

8,297

TAIWAN 18.4%

 

 

 

 

COMMUNICATION SERVICES 0.8%

 

 

 

 

Chunghwa Telecom Co. Ltd.

 

90,000

 

350

Far EasTone Telecommunications Co. Ltd.

 

64,000

 

178

Taiwan Mobile Co. Ltd.

 

69,000

 

243

 

 

 

 

771

CONSUMER DISCRETIONARY 0.4%

 

 

 

 

Cheng Shin Rubber Industry Co. Ltd.

 

55,000

 

84

China Motor Corp.

 

25,000

 

55

Eclat Textile Co. Ltd.

 

5,000

 

67

Feng TAY Enterprise Co. Ltd.

 

13,560

 

49

Nien Made Enterprise Co. Ltd.

 

2,000

 

24

Pou Chen Corp.

 

113,000

 

121

 

 

 

 

400

CONSUMER STAPLES 0.3%

 

 

 

 

Great Wall Enterprise Co. Ltd.

 

10,008

 

18

President Chain Store Corp.

 

12,000

 

91

Uni-President Enterprises Corp.

 

85,000

 

207

 

 

 

 

316

ENERGY 0.0%

 

 

 

 

Formosa Petrochemical Corp.

 

20,000

 

22

FINANCIALS 3.5%

 

 

 

 

Cathay Financial Holding Co. Ltd.

 

248,200

 

463

Chang Hwa Commercial Bank Ltd.

 

135,284

 

73

CTBC Financial Holding Co. Ltd.

 

522,000

 

628

E.Sun Financial Holding Co. Ltd.

 

232,447

 

203

First Financial Holding Co. Ltd.

 

150,904

 

124

Fubon Financial Holding Co. Ltd.

 

180,103

 

468

Hua Nan Financial Holdings Co. Ltd. 'C'

 

142,588

 

121

KGI Financial Holding Co. Ltd.

 

470,096

 

245

Mega Financial Holding Co. Ltd.

 

173,515

 

210

Shanghai Commercial & Savings Bank Ltd.

 

61,712

 

84

Shin Kong Financial Holding Co. Ltd.

 

472,847

 

174

SinoPac Financial Holdings Co. Ltd.

 

210,602

 

143

Taishin Financial Holding Co. Ltd.

 

171,971

 

90

Taiwan Business Bank

 

184,967

 

82

Taiwan Cooperative Financial Holding Co. Ltd.

 

121,503

 

89

Yuanta Financial Holding Co. Ltd.

 

226,917

 

233

 

 

 

 

3,430

INDUSTRIALS 1.4%

 

 

 

 

Eva Airways Corp. (a)

 

11,000

 

14

Evergreen Marine Corp. Taiwan Ltd.

 

83,000

 

556

Far Eastern New Century Corp.

 

84,000

 

84

Taiwan Glass Industry Corp.

 

14,000

 

7

Taiwan High Speed Rail Corp.

 

15,000

 

12

Teco Electric & Machinery Co. Ltd.

 

42,000

 

63

Wan Hai Lines Ltd.

 

13,000

 

31

Yang Ming Marine Transport Corp.

 

264,000

 

597

 

 

 

 

1,364

INFORMATION TECHNOLOGY 11.1%

 

 

 

 

Accton Technology Corp.

 

9,000

 

159

Acer, Inc.

 

106,000

 

114

Advantech Co. Ltd.

 

7,119

 

81

ASE Technology Holding Co. Ltd.

 

97,000

 

426

Asustek Computer, Inc.

 

37,000

 

688

AUO Corp.

 

293,600

 

120

Catcher Technology Co. Ltd.

 

26,000

 

166

Cheng Uei Precision Industry Co. Ltd.

 

18,000

 

30

Chicony Electronics Co. Ltd.

 

31,000

 

159

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Compal Electronics, Inc.

 

189,000

 

184

Delta Electronics, Inc.

 

49,000

 

542

Foxconn Technology Co. Ltd.

 

49,000

 

93

General Interface Solution Holding Ltd.

 

18,000

 

26

Himax Technologies, Inc. ADR

 

1,155

 

8

Hon Hai Precision Industry Co. Ltd.

 

307,600

 

1,388

Innolux Corp.

 

356,592

 

164

Inventec Corp.

 

164,000

 

212

King Yuan Electronics Co. Ltd.

 

16,000

 

43

Kinpo Electronics

 

61,000

 

40

Largan Precision Co. Ltd.

 

1,290

 

93

Lite-On Technology Corp.

 

71,000

 

197

Macronix International Co. Ltd.

 

53,000

 

33

MediaTek, Inc.

 

46,000

 

1,983

Micro-Star International Co. Ltd.

 

19,000

 

94

Mitac Holdings Corp.

 

49,000

 

83

Novatek Microelectronics Corp.

 

9,000

 

150

Pegatron Corp.

 

72,000

 

184

Powertech Technology, Inc.

 

41,000

 

154

Primax Electronics Ltd.

 

18,000

 

45

Qisda Corp.

 

22,000

 

19

Quanta Computer, Inc.

 

123,000

 

856

Radiant Opto-Electronics Corp.

 

17,000

 

93

Realtek Semiconductor Corp.

 

8,000

 

128

Silicon Motion Technology Corp.

 

705

 

36

Supreme Electronics Co. Ltd.

 

30,861

 

51

Synnex Technology International Corp.

 

43,000

 

93

Taiwan Semiconductor Manufacturing Co. Ltd.

 

38,000

 

1,070

TPK Holding Co. Ltd. (a)

 

25,000

 

27

Tripod Technology Corp.

 

10,000

 

60

Wistron Corp.

 

138,347

 

406

WPG Holdings Ltd.

 

62,560

 

118

WT Microelectronics Co. Ltd.

 

38,880

 

116

Yageo Corp.

 

2,000

 

29

Zhen Ding Technology Holding Ltd.

 

32,000

 

102

 

 

 

 

10,863

MATERIALS 0.8%

 

 

 

 

Asia Cement Corp.

 

46,000

 

65

China Steel Corp.

 

266,000

 

180

Eternal Materials Co. Ltd.

 

25,300

 

22

Formosa Chemicals & Fibre Corp.

 

48,000

 

38

Formosa Plastics Corp.

 

118,000

 

131

Nan Ya Plastics Corp.

 

81,000

 

74

TA Chen Stainless Pipe (a)

 

47,000

 

70

Taiwan Fertilizer Co. Ltd.

 

10,000

 

15

TCC Group Holdings Co. Ltd.

 

125,553

 

122

Tung Ho Steel Enterprise Corp.

 

21,020

 

45

 

 

 

 

762

REAL ESTATE 0.1%

 

 

 

 

Farglory Land Development Co. Ltd.

 

4,000

 

8

Highwealth Construction Corp.

 

37,835

 

50

Ruentex Development Co. Ltd.

 

34,380

 

37

 

 

 

 

95

Total Taiwan

 

 

 

18,023

THAILAND 3.0%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

Advanced Info Service PCL

 

48,700

 

396

Digital Telecommunications Infrastructure Fund 'F'

 

197,700

 

46

Jasmine International PCL (a)

 

362,774

 

16

True Corp. PCL (a)

 

63,200

 

22

 

 

 

 

480

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Home Product Center PCL

 

84,100

 

21

Sri Trang Agro-Industry PCL

 

129,200

 

55

 

 

 

 

76

CONSUMER STAPLES 0.5%

 

 

 

 

Berli Jucker PCL

 

23,600

 

16

Charoen Pokphand Foods PCL

 

304,800

 

214

CP ALL PCL

 

135,200

 

198

Osotspa PCL

 

16,500

 

7

Thai Beverage PCL

 

145,400

 

55

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Thai Union Group PCL 'F'

 

81,000

 

26

 

 

 

 

516

ENERGY 0.5%

 

 

 

 

Bangchak Corp. PCL

 

61,100

 

69

PTT PCL

 

363,700

 

343

Thai Oil PCL

 

81,800

 

59

 

 

 

 

471

FINANCIALS 0.5%

 

 

 

 

Bangkok Bank PCL

 

9,800

 

43

Kasikornbank PCL

 

32,600

 

156

Krung Thai Bank PCL

 

44,600

 

32

SCB X PCL

 

22,000

 

80

Thanachart Capital PCL

 

29,600

 

43

Tisco Financial Group PCL

 

42,100

 

123

 

 

 

 

477

HEALTH CARE 0.2%

 

 

 

 

Bangkok Dusit Medical Services PCL 'F'

 

205,700

 

132

Bumrungrad Hospital PCL

 

10,400

 

51

Sri Trang Gloves Thailand PCL

 

76,700

 

16

 

 

 

 

199

INDUSTRIALS 0.0%

 

 

 

 

Regional Container Lines PCL

 

12,500

 

9

INFORMATION TECHNOLOGY 0.2%

 

 

 

 

Cal-Comp Electronics Thailand PCL 'F'

 

247,200

 

43

Delta Electronics Thailand PCL

 

58,400

 

115

Fabrinet (a)

 

368

 

73

 

 

 

 

231

MATERIALS 0.3%

 

 

 

 

Indorama Ventures PCL

 

13,400

 

8

PTT Global Chemical PCL

 

143,400

 

73

SCG Packaging PCL

 

18,800

 

7

Siam Cement PCL

 

35,700

 

165

 

 

 

 

253

REAL ESTATE 0.1%

 

 

 

 

Land & Houses PCL

 

234,000

 

29

Supalai PCL

 

67,500

 

32

 

 

 

 

61

UTILITIES 0.1%

 

 

 

 

Gulf Energy Development PCL

 

78,100

 

115

Ratch Group PCL

 

25,550

 

19

 

 

 

 

134

Total Thailand

 

 

 

2,907

TURKEY 0.9%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Turk Telekomunikasyon AS

 

17,989

 

23

Turkcell Iletisim Hizmetleri AS

 

45,081

 

114

 

 

 

 

137

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Arcelik AS

 

2,941

 

11

Ford Otomotiv Sanayi AS

 

900

 

25

Vestel Elektronik Sanayi ve Ticaret AS

 

14,375

 

18

 

 

 

 

54

CONSUMER STAPLES 0.3%

 

 

 

 

Anadolu Efes Biracilik Ve Malt Sanayii AS

 

13,830

 

61

BIM Birlesik Magazalar AS

 

19,335

 

234

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Coca-Cola Icecek AS

 

15,690

 

22

 

 

 

 

317

ENERGY 0.0%

 

 

 

 

Turkiye Petrol Rafinerileri AS

 

1

 

0

FINANCIALS 0.1%

 

 

 

 

Is Yatirim Menkul Degerler AS 'A'

 

75,206

 

80

Turkiye Vakiflar Bankasi TAO (a)

 

16,106

 

10

 

 

 

 

90

INDUSTRIALS 0.2%

 

 

 

 

Aselsan Elektronik Sanayi Ve Ticaret AS

 

18,224

 

57

Enka Insaat ve Sanayi AS

 

37,219

 

62

Tekfen Holding AS

 

14,578

 

58

Turkiye Sise ve Cam Fabrikalari AS

 

12,413

 

13

 

 

 

 

190

MATERIALS 0.1%

 

 

 

 

Eregli Demir ve Celik Fabrikalari TAS

 

81,324

 

48

Petkim Petrokimya Holding AS (a)

 

27,743

 

13

 

 

 

 

61

UTILITIES 0.0%

 

 

 

 

Aygaz AS

 

1

 

0

Enerjisa Enerji AS

 

12,194

 

18

 

 

 

 

18

Total Turkey

 

 

 

867

UNITED ARAB EMIRATES 1.1%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Emirates Telecommunications Group Co. PJSC

 

9,319

 

43

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Abu Dhabi National Oil Co. for Distribution PJSC

 

62,997

 

58

ENERGY 0.1%

 

 

 

 

ADNOC Drilling Co. PJSC

 

42,711

 

60

FINANCIALS 0.5%

 

 

 

 

Abu Dhabi Commercial Bank PJSC

 

9,188

 

27

Abu Dhabi Islamic Bank PJSC

 

20,503

 

90

Dubai Islamic Bank PJSC

 

57,296

 

111

Emirates NBD Bank PJSC

 

16,279

 

90

First Abu Dhabi Bank PJSC

 

37,527

 

141

 

 

 

 

459

MATERIALS 0.0%

 

 

 

 

Borouge PLC

 

24,797

 

16

REAL ESTATE 0.4%

 

 

 

 

Aldar Properties PJSC

 

37,036

 

84

Emaar Development PJSC

 

35,447

 

118

Emaar Properties PJSC

 

61,748

 

224

 

 

 

 

426

UTILITIES 0.0%

 

 

 

 

Dubai Electricity & Water Authority PJSC

 

27,678

 

19

Total United Arab Emirates

 

 

 

1,081

Total Common Stocks (Cost $88,519)

 

 

 

95,356

PREFERRED STOCKS 2.1%

 

 

 

 

BRAZIL 2.0%

 

 

 

 

INDUSTRIALS 0.5%

 

 

 

 

Braskem SA

 

25,990

 

50

Gerdau SA

 

83,614

 

237

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Metalurgica Gerdau SA

 

96,392

 

151

Usinas Siderurgicas de Minas Gerais SA Usiminas

 

85,900

 

86

 

 

 

 

524

UTILITIES 1.5%

 

 

 

 

Cia Energetica de Minas Gerais

 

79,397

 

143

ISA Energia Brasil SA

 

16,221

 

63

Petroleo Brasileiro SA

 

189,298

 

1,233

 

 

 

 

1,439

Total Brazil

 

 

 

1,963

CHILE 0.1%

 

 

 

 

INDUSTRIALS 0.1%

 

 

 

 

Embotelladora Andina SA

 

8,339

 

31

Total Chile

 

 

 

31

RUSSIA 0.0%

 

 

 

 

UTILITIES 0.0%

 

 

 

 

Bashneft PJSC

 

2,929

 

0

Transneft PJSC (c)

 

2,200

 

0

 

 

 

 

0

Total Russia

 

 

 

0

Total Preferred Stocks (Cost $1,765)

 

 

 

1,994

REAL ESTATE INVESTMENT TRUSTS 0.0%

 

 

 

 

SOUTH AFRICA 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

Growthpoint Properties Ltd.

 

42,265

 

30

Total Real Estate Investment Trusts (Cost $35)

 

 

 

30

MUTUAL FUNDS 0.0%

 

 

 

 

Total Investments in Securities (Cost $90,319)

 

 

 

97,380

INVESTMENTS IN AFFILIATES 0.0%

 

 

 

 

SHORT-TERM INSTRUMENTS 0.0%

 

 

 

 

MUTUAL FUNDS 0.0%

 

 

 

 

PIMCO Government Money Market Fund

4.470% (b)(c)(d)

 

8,192

 

8

Total Short-Term Instruments (Cost $8)

 

 

 

8

Total Investments in Affiliates (Cost $8)

 

 

 

8

Total Investments 99.4% (Cost $90,327)

 

 

$

97,388

Other Assets and Liabilities, net 0.6%

 

 

 

634

Net Assets 100.0%

 

 

$

98,022

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Security did not produce income within the last twelve months.

(b)

Institutional Class Shares of each Fund.

(c)

Securities with an aggregate market value of $8 were out on loan in exchange for $8 of cash collateral as of March 31, 2025.

(d)

Coupon represents a 7-Day Yield.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Brazil

 

Communication Services

$

250

$

0

$

0

$

250

 

 

Consumer Discretionary

 

140

 

0

 

0

 

140

 

 

Consumer Staples

 

866

 

0

 

0

 

866

 

 

Energy

 

82

 

0

 

0

 

82

 

 

Financials

 

265

 

0

 

0

 

265

 

 

Industrials

 

278

 

0

 

0

 

278

 

 

Materials

 

1,378

 

0

 

0

 

1,378

 

 

Utilities

 

199

 

0

 

0

 

199

 

 

Chile

 

Consumer Discretionary

 

68

 

43

 

0

 

111

 

 

Consumer Staples

 

142

 

80

 

0

 

222

 

 

Financials

 

42

 

348

 

0

 

390

 

 

Materials

 

30

 

0

 

0

 

30

 

 

Utilities

 

137

 

0

 

0

 

137

 

 

China

 

Communication Services

 

328

 

1,546

 

0

 

1,874

 

 

Consumer Discretionary

 

861

 

1,757

 

0

 

2,618

 

 

Consumer Staples

 

0

 

1,099

 

0

 

1,099

 

 

Energy

 

0

 

1,655

 

0

 

1,655

 

 

Financials

 

93

 

9,258

 

0

 

9,351

 

 

Health Care

 

0

 

708

 

0

 

708

 

 

Industrials

 

155

 

3,329

 

0

 

3,484

 

 

Information Technology

 

97

 

1,846

 

0

 

1,943

 

 

Materials

 

0

 

2,396

 

0

 

2,396

 

 

Real Estate

 

0

 

1,282

 

0

 

1,282

 

 

Utilities

 

25

 

1,666

 

0

 

1,691

 

 

Greece

 

Communication Services

 

0

 

99

 

0

 

99

 

 

Consumer Discretionary

 

0

 

125

 

0

 

125

 

 

Energy

 

0

 

18

 

0

 

18

 

 

Financials

 

0

 

216

 

0

 

216

 

 

Industrials

 

41

 

0

 

0

 

41

 

 

Hong Kong

 

Consumer Discretionary

 

0

 

148

 

0

 

148

 

 

Financials

 

56

 

573

 

0

 

629

 

 

Industrials

 

0

 

359

 

0

 

359

 

 

Materials

 

0

 

14

 

0

 

14

 

 

Real Estate

 

0

 

607

 

0

 

607

 

 

Utilities

 

0

 

545

 

0

 

545

 

 

India

 

Communication Services

 

0

 

1,176

 

0

 

1,176

 

 

Consumer Discretionary

 

0

 

1,112

 

0

 

1,112

 

 

Consumer Staples

 

0

 

1,177

 

0

 

1,177

 

 

Energy

 

0

 

1,293

 

0

 

1,293

 

 

Financials

 

0

 

2,481

 

0

 

2,481

 

 

Health Care

 

0

 

1,237

 

0

 

1,237

 

 

Industrials

 

0

 

703

 

0

 

703

 

 

Information Technology

 

0

 

3,203

 

0

 

3,203

 

 

Materials

 

0

 

1,684

 

0

 

1,684

 

 

Real Estate

 

0

 

31

 

0

 

31

 

 

Utilities

 

0

 

1,108

 

0

 

1,108

 

 

Indonesia

 

Communication Services

 

0

 

192

 

0

 

192

 

 

Consumer Staples

 

36

 

60

 

0

 

96

 

 

Energy

 

67

 

105

 

0

 

172

 

 

Financials

 

214

 

0

 

0

 

214

 

 

Health Care

 

28

 

0

 

0

 

28

 

 

Materials

 

55

 

0

 

0

 

55

 

 

Utilities

 

0

 

10

 

0

 

10

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

Kuwait

 

Communication Services

 

0

 

52

 

0

 

52

 

 

Financials

 

0

 

546

 

0

 

546

 

 

Industrials

 

0

 

5

 

0

 

5

 

 

Real Estate

 

4

 

0

 

0

 

4

 

 

Malaysia

 

Communication Services

 

0

 

102

 

0

 

102

 

 

Consumer Discretionary

 

0

 

73

 

0

 

73

 

 

Consumer Staples

 

34

 

87

 

0

 

121

 

 

Financials

 

62

 

780

 

0

 

842

 

 

Health Care

 

28

 

131

 

0

 

159

 

 

Industrials

 

0

 

320

 

0

 

320

 

 

Materials

 

0

 

74

 

0

 

74

 

 

Utilities

 

20

 

367

 

0

 

387

 

 

Mexico

 

Communication Services

 

230

 

0

 

0

 

230

 

 

Consumer Staples

 

1,249

 

0

 

0

 

1,249

 

 

Industrials

 

163

 

0

 

0

 

163

 

 

Materials

 

400

 

0

 

0

 

400

 

 

Netherlands

 

Real Estate

 

48

 

0

 

0

 

48

 

 

Philippines

 

Communication Services

 

0

 

51

 

0

 

51

 

 

Consumer Staples

 

0

 

17

 

0

 

17

 

 

Financials

 

0

 

32

 

0

 

32

 

 

Industrials

 

85

 

0

 

0

 

85

 

 

Utilities

 

30

 

0

 

0

 

30

 

 

Poland

 

Communication Services

 

0

 

115

 

0

 

115

 

 

Consumer Discretionary

 

0

 

28

 

0

 

28

 

 

Financials

 

0

 

202

 

0

 

202

 

 

Information Technology

 

0

 

89

 

0

 

89

 

 

Materials

 

0

 

30

 

0

 

30

 

 

Utilities

 

45

 

130

 

0

 

175

 

 

Qatar

 

Communication Services

 

39

 

0

 

0

 

39

 

 

Energy

 

40

 

0

 

0

 

40

 

 

Financials

 

0

 

313

 

0

 

313

 

 

Industrials

 

85

 

0

 

0

 

85

 

 

Real Estate

 

40

 

0

 

0

 

40

 

 

Utilities

 

10

 

0

 

0

 

10

 

 

Saudi Arabia

 

Communication Services

 

440

 

11

 

0

 

451

 

 

Consumer Discretionary

 

0

 

39

 

0

 

39

 

 

Consumer Staples

 

13

 

101

 

0

 

114

 

 

Energy

 

0

 

683

 

0

 

683

 

 

Financials

 

51

 

607

 

0

 

658

 

 

Health Care

 

25

 

0

 

0

 

25

 

 

Materials

 

294

 

132

 

0

 

426

 

 

Real Estate

 

0

 

67

 

0

 

67

 

 

Utilities

 

0

 

46

 

0

 

46

 

 

Singapore

 

Consumer Discretionary

 

0

 

305

 

0

 

305

 

 

South Africa

 

Communication Services

 

538

 

93

 

0

 

631

 

 

Consumer Discretionary

 

75

 

467

 

0

 

542

 

 

Consumer Staples

 

269

 

212

 

0

 

481

 

 

Energy

 

0

 

86

 

0

 

86

 

 

Financials

 

240

 

541

 

0

 

781

 

 

Health Care

 

106

 

0

 

0

 

106

 

 

Industrials

 

97

 

0

 

0

 

97

 

 

Materials

 

48

 

1,217

 

0

 

1,265

 

 

South Korea

 

Communication Services

 

0

 

822

 

0

 

822

 

 

Consumer Discretionary

 

0

 

1,416

 

0

 

1,416

 

 

Consumer Staples

 

0

 

415

 

0

 

415

 

 

Energy

 

0

 

231

 

0

 

231

 

 

Financials

 

0

 

2,160

 

0

 

2,160

 

 

Industrials

 

0

 

1,323

 

0

 

1,323

 

 

Information Technology

 

0

 

979

 

0

 

979

 

 

Materials

 

0

 

636

 

0

 

636

 

 

Utilities

 

0

 

315

 

0

 

315

 

 

Taiwan

 

Communication Services

 

0

 

771

 

0

 

771

 

 

Consumer Discretionary

 

0

 

400

 

0

 

400

 

 

Consumer Staples

 

0

 

316

 

0

 

316

 

 

Energy

 

0

 

22

 

0

 

22

 

 

Financials

 

0

 

3,430

 

0

 

3,430

 

 

Industrials

 

0

 

1,364

 

0

 

1,364

 

 

Information Technology

 

44

 

10,819

 

0

 

10,863

 

 

Materials

 

0

 

762

 

0

 

762

 

 

Real Estate

 

0

 

95

 

0

 

95

 

 

Thailand

 

Communication Services

 

0

 

480

 

0

 

480

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

Consumer Discretionary

 

0

 

76

 

0

 

76

 

 

Consumer Staples

 

55

 

461

 

0

 

516

 

 

Energy

 

0

 

471

 

0

 

471

 

 

Financials

 

0

 

477

 

0

 

477

 

 

Health Care

 

0

 

199

 

0

 

199

 

 

Industrials

 

0

 

9

 

0

 

9

 

 

Information Technology

 

73

 

158

 

0

 

231

 

 

Materials

 

0

 

253

 

0

 

253

 

 

Real Estate

 

0

 

61

 

0

 

61

 

 

Utilities

 

0

 

134

 

0

 

134

 

 

Turkey

 

Communication Services

 

0

 

137

 

0

 

137

 

 

Consumer Discretionary

 

25

 

29

 

0

 

54

 

 

Consumer Staples

 

295

 

22

 

0

 

317

 

 

Financials

 

80

 

10

 

0

 

90

 

 

Industrials

 

115

 

75

 

0

 

190

 

 

Materials

 

0

 

61

 

0

 

61

 

 

Utilities

 

18

 

0

 

0

 

18

 

 

United Arab Emirates

 

Communication Services

 

43

 

0

 

0

 

43

 

 

Consumer Discretionary

 

0

 

58

 

0

 

58

 

 

Energy

 

60

 

0

 

0

 

60

 

 

Financials

 

321

 

138

 

0

 

459

 

 

Materials

 

0

 

16

 

0

 

16

 

 

Real Estate

 

0

 

426

 

0

 

426

 

 

Utilities

 

19

 

0

 

0

 

19

 

Preferred Stocks

 

Brazil

 

Industrials

 

524

 

0

 

0

 

524

 

 

Utilities

 

1,439

 

0

 

0

 

1,439

 

 

Chile

 

Industrials

 

0

 

31

 

0

 

31

 

Real Estate Investment Trusts

 

South Africa

 

Real Estate

 

0

 

30

 

0

 

30

 

 

$

13,852

$

83,528

$

0

$

97,380

 

Investments in Affiliates, at Value

Short-Term Instruments

 

Mutual Funds

 

8

 

0

 

0

 

8

 

Total Investments

$

13,860

$

83,528

$

0

$

97,388

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 98.8% ¤

 

 

 

 

COMMON STOCKS 97.3%

 

 

 

 

AUSTRALIA 4.2%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

CAR Group Ltd.

 

8,494

$

169

Nine Entertainment Co. Holdings Ltd.

 

14,868

 

14

REA Group Ltd.

 

1,295

 

180

SEEK Ltd.

 

7,677

 

104

 

 

 

 

467

CONSUMER DISCRETIONARY 0.5%

 

 

 

 

ARB Corp. Ltd.

 

1,132

 

23

Aristocrat Leisure Ltd.

 

7,330

 

296

Breville Group Ltd.

 

5,208

 

103

Domino's Pizza Enterprises Ltd.

 

2,832

 

46

Harvey Norman Holdings Ltd.

 

26,550

 

84

JB Hi-Fi Ltd.

 

3,617

 

211

Super Retail Group Ltd.

 

11,821

 

96

Wesfarmers Ltd.

 

13,613

 

617

 

 

 

 

1,476

CONSUMER STAPLES 0.3%

 

 

 

 

Coles Group Ltd.

 

29,739

 

364

GrainCorp Ltd. 'A'

 

22,603

 

97

Metcash Ltd.

 

60,601

 

120

Myer Holdings Ltd.

 

15,223

 

6

Woolworths Group Ltd.

 

21,763

 

404

 

 

 

 

991

ENERGY 0.1%

 

 

 

 

Ampol Ltd.

 

6,452

 

95

New Hope Corp. Ltd.

 

6,618

 

16

Viva Energy Group Ltd.

 

50,521

 

54

 

 

 

 

165

FINANCIALS 1.3%

 

 

 

 

AMP Ltd.

 

156,006

 

122

ASX Ltd.

 

3,315

 

136

Bank of Queensland Ltd.

 

15,883

 

67

Bendigo & Adelaide Bank Ltd.

 

9,267

 

62

Commonwealth Bank of Australia

 

8,828

 

840

Insurance Australia Group Ltd.

 

48,595

 

236

Macquarie Group Ltd.

 

3,436

 

428

Magellan Financial Group Ltd.

 

4,831

 

23

Medibank Pvt Ltd.

 

111,017

 

310

National Australia Bank Ltd.

 

31,252

 

672

NIB Holdings Ltd.

 

14,245

 

61

Perpetual Ltd.

 

3,657

 

45

QBE Insurance Group Ltd.

 

19,168

 

265

Suncorp Group Ltd.

 

19,417

 

235

Westpac Banking Corp.

 

33,573

 

669

 

 

 

 

4,171

HEALTH CARE 0.3%

 

 

 

 

Ansell Ltd.

 

7,782

 

166

Cochlear Ltd.

 

599

 

99

CSL Ltd.

 

3,299

 

519

Sigma Healthcare Ltd.

 

48,458

 

88

Sonic Healthcare Ltd.

 

10,547

 

171

 

 

 

 

1,043

INDUSTRIALS 0.4%

 

 

 

 

ALS Ltd.

 

9,607

 

93

Aurizon Holdings Ltd.

 

91,984

 

179

Brambles Ltd.

 

33,841

 

427

Computershare Ltd.

 

5,930

 

146

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Downer EDI Ltd.

 

23,551

 

80

Monadelphous Group Ltd.

 

6,562

 

64

Reece Ltd.

 

5,816

 

58

Transurban Group

 

27,257

 

230

Worley Ltd.

 

3,607

 

33

 

 

 

 

1,310

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

WiseTech Global Ltd.

 

2,423

 

125

MATERIALS 0.9%

 

 

 

 

BHP Group Ltd.

 

19,499

 

473

BlueScope Steel Ltd.

 

9,414

 

126

Champion Iron Ltd.

 

5,937

 

18

Evolution Mining Ltd.

 

74,990

 

336

Fortescue Ltd.

 

39,107

 

378

IGO Ltd.

 

15,562

 

39

Iluka Resources Ltd.

 

15,453

 

38

Incitec Pivot Ltd.

 

78,105

 

125

Lynas Rare Earths Ltd. (a)

 

7,140

 

31

Northern Star Resources Ltd.

 

35,424

 

409

Regis Resources Ltd.

 

27,977

 

69

Rio Tinto Ltd.

 

8,711

 

632

Sandfire Resources Ltd. (a)

 

11,518

 

75

Sims Ltd.

 

13,081

 

121

 

 

 

 

2,870

REAL ESTATE 0.0%

 

 

 

 

Lendlease Corp. Ltd.

 

16,985

 

63

UTILITIES 0.2%

 

 

 

 

AGL Energy Ltd.

 

27,551

 

182

APA Group

 

15,877

 

79

Origin Energy Ltd.

 

31,157

 

206

 

 

 

 

467

Total Australia

 

 

 

13,148

AUSTRIA 0.2%

 

 

 

 

ENERGY 0.0%

 

 

 

 

OMV AG

 

1,758

 

91

FINANCIALS 0.1%

 

 

 

 

Erste Group Bank AG

 

2,161

 

149

UNIQA Insurance Group AG

 

11,087

 

118

 

 

 

 

267

INDUSTRIALS 0.0%

 

 

 

 

Andritz AG

 

1,844

 

104

MATERIALS 0.1%

 

 

 

 

voestalpine AG

 

5,450

 

133

REAL ESTATE 0.0%

 

 

 

 

CA Immobilien Anlagen AG

 

3,478

 

84

UTILITIES 0.0%

 

 

 

 

Verbund AG

 

888

 

63

Total Austria

 

 

 

742

BELGIUM 0.5%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Proximus SADP

 

8,783

 

65

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

D'ieteren Group

 

379

 

65

CONSUMER STAPLES 0.1%

 

 

 

 

Colruyt Group NV

 

3,559

 

146

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Lotus Bakeries NV

 

5

 

45

 

 

 

 

191

FINANCIALS 0.1%

 

 

 

 

Ageas SA

 

1,255

 

75

Gimv NV

 

1,219

 

52

KBC Group NV

 

1,376

 

126

 

 

 

 

253

HEALTH CARE 0.3%

 

 

 

 

UCB SA

 

4,642

 

817

INDUSTRIALS 0.0%

 

 

 

 

Ackermans & Van Haaren NV

 

483

 

105

Deme Group NV

 

204

 

29

 

 

 

 

134

MATERIALS 0.0%

 

 

 

 

Solvay SA

 

2,653

 

94

UTILITIES 0.0%

 

 

 

 

Elia Group SA

 

1,146

 

99

Total Belgium

 

 

 

1,718

CANADA 7.5%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

BCE, Inc.

 

24,220

 

556

Cogeco Communications, Inc.

 

1,092

 

53

Quebecor, Inc. 'B'

 

4,198

 

106

Rogers Communications, Inc. 'B'

 

1,900

 

51

TELUS Corp.

 

16,939

 

243

 

 

 

 

1,009

CONSUMER DISCRETIONARY 0.7%

 

 

 

 

BRP, Inc.

 

1,057

 

36

Canadian Tire Corp. Ltd. 'A'

 

2,630

 

273

Dollarama, Inc.

 

6,760

 

723

Gildan Activewear, Inc.

 

4,796

 

212

Linamar Corp.

 

1,265

 

44

Lululemon Athletica, Inc. (a)

 

472

 

133

Magna International, Inc.

 

14,270

 

485

Restaurant Brands International, Inc.

 

2,406

 

160

 

 

 

 

2,066

CONSUMER STAPLES 0.9%

 

 

 

 

Alimentation Couche-Tard, Inc.

 

11,759

 

580

Empire Co. Ltd. 'A'

 

8,789

 

295

George Weston Ltd.

 

2,155

 

367

Loblaw Cos., Ltd.

 

4,849

 

680

Maple Leaf Foods, Inc.

 

2,695

 

47

Metro, Inc.

 

6,001

 

417

North West Co., Inc.

 

2,798

 

99

Premium Brands Holdings Corp.

 

1,044

 

56

Saputo, Inc.

 

6,304

 

109

 

 

 

 

2,650

ENERGY 0.9%

 

 

 

 

ARC Resources Ltd.

 

7,098

 

143

Birchcliff Energy Ltd.

 

11,968

 

56

Cenovus Energy, Inc.

 

7,574

 

105

Enbridge, Inc.

 

20,132

 

891

Enerflex Ltd.

 

4,300

 

33

Gibson Energy, Inc.

 

7,347

 

114

Imperial Oil Ltd.

 

6,041

 

436

Parex Resources, Inc.

 

4,737

 

44

Peyto Exploration & Development Corp.

 

9,037

 

114

Precision Drilling Corp. (a)

 

1,261

 

59

Secure Waste Infrastructure Corp.

 

3,663

 

40

Suncor Energy, Inc.

 

7,303

 

283

TC Energy Corp.

 

9,569

 

452

Veren, Inc.

 

17,746

 

117

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Vermilion Energy, Inc.

 

3,156

 

26

 

 

 

 

2,913

FINANCIALS 1.9%

 

 

 

 

Brookfield Asset Management Ltd. 'A'

 

6,341

 

307

Brookfield Corp.

 

13,456

 

704

Brookfield Wealth Solutions Ltd.

 

2,862

 

150

Canadian Imperial Bank of Commerce

 

7,612

 

428

CI Financial Corp.

 

11,813

 

256

E-L Financial Corp. Ltd.

 

100

 

89

Fairfax Financial Holdings Ltd.

 

848

 

1,226

IGM Financial, Inc.

 

2,740

 

84

Intact Financial Corp.

 

3,100

 

633

Manulife Financial Corp.

 

18,380

 

573

National Bank of Canada

 

3,672

 

303

Onex Corp.

 

1,469

 

98

Power Corp. of Canada

 

8,918

 

315

Royal Bank of Canada

 

7,075

 

797

TMX Group Ltd.

 

3,364

 

123

 

 

 

 

6,086

HEALTH CARE 0.0%

 

 

 

 

Bausch Health Cos., Inc. (a)

 

3,920

 

25

INDUSTRIALS 0.7%

 

 

 

 

Aecon Group, Inc.

 

7,097

 

83

Canadian National Railway Co.

 

3,052

 

297

Canadian Pacific Kansas City Ltd.

 

881

 

62

Finning International, Inc.

 

5,941

 

167

GFL Environmental, Inc.

 

3,092

 

149

Russel Metals, Inc.

 

3,526

 

96

TFI International, Inc.

 

1,252

 

97

Thomson Reuters Corp.

 

3,666

 

633

Toromont Industries Ltd.

 

2,527

 

198

Waste Connections, Inc.

 

2,535

 

495

 

 

 

 

2,277

INFORMATION TECHNOLOGY 0.5%

 

 

 

 

Canadian Solar, Inc. (a)

 

1,063

 

9

Celestica, Inc. (a)

 

2,429

 

192

CGI, Inc.

 

5,724

 

572

Constellation Software, Inc. (b)

 

92

 

291

Descartes Systems Group, Inc. (a)

 

408

 

41

Shopify, Inc. 'A' (a)

 

5,300

 

504

 

 

 

 

1,609

MATERIALS 1.1%

 

 

 

 

Agnico Eagle Mines Ltd. (b)

 

3,900

 

423

Alamos Gold, Inc.'A'

 

7,572

 

202

Barrick Gold Corp.

 

10,900

 

212

CCL Industries, Inc. 'B'

 

801

 

39

Centerra Gold, Inc.

 

4,516

 

29

Eldorado Gold Corp. (a)

 

18,968

 

319

First Quantum Minerals Ltd.

 

7,769

 

104

Franco-Nevada Corp.

 

2,718

 

428

Hudbay Minerals, Inc.

 

4,029

 

31

IAMGOLD Corp. (a)

 

11,126

 

69

Kinross Gold Corp.

 

12,721

 

160

Methanex Corp.

 

4,054

 

142

Osisko Gold Royalties Ltd.

 

1,600

 

34

Pan American Silver Corp.

 

10,815

 

279

SSR Mining, Inc. (a)

 

5,100

 

51

Stella-Jones, Inc. (b)

 

801

 

38

Teck Resources Ltd. 'B'

 

3,398

 

124

Transcontinental, Inc. 'A'

 

5,607

 

73

West Fraser Timber Co. Ltd.

 

2,479

 

190

Wheaton Precious Metals Corp.

 

8,097

 

628

 

 

 

 

3,575

REAL ESTATE 0.1%

 

 

 

 

Colliers International Group, Inc.

 

798

 

96

FirstService Corp.

 

933

 

155

 

 

 

 

251

UTILITIES 0.4%

 

 

 

 

Atco Ltd. 'I'

 

4,423

 

154

Canadian Utilities Ltd. 'A'

 

3,006

 

77

Emera, Inc.

 

4,531

 

191

Fortis, Inc.

 

4,905

 

223

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Hydro One Ltd.

 

8,679

 

292

Northland Power, Inc.

 

4,110

 

56

Superior Plus Corp.

 

8,620

 

39

TransAlta Corp.

 

5,268

 

49

 

 

 

 

1,081

Total Canada

 

 

 

23,542

CHILE 0.1%

 

 

 

 

MATERIALS 0.1%

 

 

 

 

Antofagasta PLC

 

10,312

 

225

Total Chile

 

 

 

225

DENMARK 1.6%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

GN Store Nord AS (a)

 

2,202

 

34

Pandora AS

 

1,361

 

209

 

 

 

 

243

CONSUMER STAPLES 0.2%

 

 

 

 

Carlsberg AS 'B'

 

1,919

 

243

Royal Unibrew AS

 

1,264

 

101

Scandinavian Tobacco Group AS 'A'

 

5,107

 

74

Schouw & Co. AS

 

743

 

66

 

 

 

 

484

FINANCIALS 0.1%

 

 

 

 

Danske Bank AS

 

7,922

 

260

Sydbank AS

 

2,950

 

185

Tryg AS

 

1,353

 

32

 

 

 

 

477

HEALTH CARE 0.6%

 

 

 

 

Coloplast AS 'B'

 

2,664

 

279

Demant AS (a)

 

2,311

 

78

H Lundbeck AS

 

4,627

 

23

Novo Nordisk AS 'B'

 

23,363

 

1,598

 

 

 

 

1,978

INDUSTRIALS 0.4%

 

 

 

 

AP Moller - Maersk AS 'B'

 

306

 

532

DSV AS

 

1,974

 

382

ISS AS

 

5,004

 

115

Per Aarsleff Holding AS

 

626

 

44

Rockwool AS 'B'

 

168

 

70

 

 

 

 

1,143

MATERIALS 0.1%

 

 

 

 

Novozymes AS 'B'

 

7,409

 

431

UTILITIES 0.1%

 

 

 

 

Orsted AS

 

4,796

 

210

Total Denmark

 

 

 

4,966

FINLAND 1.3%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Elisa Oyj

 

3,970

 

194

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Nokian Renkaat Oyj

 

3,885

 

27

CONSUMER STAPLES 0.1%

 

 

 

 

Kesko Oyj 'B'

 

9,448

 

193

ENERGY 0.0%

 

 

 

 

Neste Oyj

 

7,083

 

65

FINANCIALS 0.3%

 

 

 

 

Mandatum Oyj

 

13,455

 

82

Nordea Bank Abp

 

12,158

 

155

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Sampo Oyj 'A'

 

73,740

 

707

Sampo OYJ 'A'

 

12,544

 

120

 

 

 

 

1,064

HEALTH CARE 0.1%

 

 

 

 

Orion Oyj 'B'

 

4,844

 

288

INDUSTRIALS 0.3%

 

 

 

 

Cargotec Oyj

 

1,975

 

90

Kone Oyj 'B'

 

9,587

 

529

Konecranes Oyj

 

838

 

54

Wartsila Oyj Abp

 

21,747

 

388

 

 

 

 

1,061

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

Nokia Oyj

 

43,481

 

229

TietoEVRY Oyj

 

7,678

 

133

 

 

 

 

362

MATERIALS 0.1%

 

 

 

 

Kemira Oyj

 

5,830

 

127

Outokumpu Oyj

 

21,455

 

81

Stora Enso Oyj 'R'

 

11,136

 

105

UPM-Kymmene Oyj

 

3,584

 

96

 

 

 

 

409

REAL ESTATE 0.0%

 

 

 

 

Citycon Oyj

 

12,043

 

43

Kojamo Oyj

 

5,352

 

49

 

 

 

 

92

UTILITIES 0.2%

 

 

 

 

Fortum Oyj

 

27,922

 

457

Total Finland

 

 

 

4,212

FRANCE 6.6%

 

 

 

 

COMMUNICATION SERVICES 0.9%

 

 

 

 

Metropole Television SA

 

4,770

 

72

Orange SA

 

165,159

 

2,139

Publicis Groupe SA

 

5,780

 

545

Television Francaise SA

 

6,772

 

66

Ubisoft Entertainment SA (a)

 

3,784

 

46

Vivendi SE

 

44,254

 

133

 

 

 

 

3,001

CONSUMER DISCRETIONARY 0.7%

 

 

 

 

Accor SA

 

1,490

 

68

Cie Generale des Etablissements Michelin SCA

 

5,683

 

200

FDJ UNITED

 

755

 

24

Forvia SE

 

5,037

 

41

Hermes International SCA

 

277

 

729

Kering SA

 

626

 

130

LVMH Moet Hennessy Louis Vuitton SE

 

354

 

219

Renault SA

 

11,605

 

588

SEB SA

 

945

 

89

Valeo SE

 

9,118

 

86

 

 

 

 

2,174

CONSUMER STAPLES 0.9%

 

 

 

 

Carrefour SA

 

50,112

 

717

Danone SA

 

21,515

 

1,645

L'Oreal SA

 

592

 

220

Pernod Ricard SA

 

2,006

 

198

 

 

 

 

2,780

ENERGY 0.1%

 

 

 

 

Technip Energies NV

 

2,272

 

74

TotalEnergies SE

 

5,331

 

344

 

 

 

 

418

FINANCIALS 0.7%

 

 

 

 

Amundi SA

 

403

 

32

BNP Paribas SA

 

6,378

 

533

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Credit Agricole SA

 

5,562

 

101

SCOR SE

 

8,554

 

247

Societe Generale SA

 

29,658

 

1,338

 

 

 

 

2,251

HEALTH CARE 1.3%

 

 

 

 

BioMerieux

 

892

 

110

EssilorLuxottica SA

 

2,899

 

835

Sanofi SA

 

26,857

 

2,974

Sartorius Stedim Biotech

 

312

 

62

 

 

 

 

3,981

INDUSTRIALS 1.6%

 

 

 

 

Airbus SE

 

1,026

 

181

Alstom SA

 

2,367

 

52

Bouygues SA

 

7,518

 

296

Bureau Veritas SA

 

8,414

 

255

Cie de Saint-Gobain SA

 

5,221

 

520

Legrand SA

 

1,325

 

140

Nexans SA

 

1,673

 

164

Rexel SA

 

15,938

 

430

Safran SA

 

4,633

 

1,220

Societe BIC SA

 

1,684

 

114

Thales SA

 

3,283

 

873

Vinci SA

 

5,409

 

682

 

 

 

 

4,927

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Sopra Steria Group

 

766

 

142

MATERIALS 0.2%

 

 

 

 

Air Liquide SA

 

2,072

 

393

Eramet SA

 

380

 

21

Vicat SACA

 

2,422

 

131

 

 

 

 

545

UTILITIES 0.2%

 

 

 

 

Engie SA

 

28,331

 

552

Rubis SCA

 

1,664

 

47

 

 

 

 

599

Total France

 

 

 

20,818

GERMANY 5.7%

 

 

 

 

COMMUNICATION SERVICES 0.7%

 

 

 

 

Deutsche Telekom AG

 

46,705

 

1,724

Freenet AG

 

7,250

 

276

ProSiebenSat.1 Media SE

 

8,034

 

51

Scout24 SE

 

1,887

 

198

 

 

 

 

2,249

CONSUMER DISCRETIONARY 0.7%

 

 

 

 

Adidas AG

 

2,368

 

559

Bayerische Motoren Werke AG

 

6,664

 

537

Continental AG

 

4,805

 

339

Delivery Hero SE (a)

 

1,159

 

28

Fielmann Group AG

 

1,574

 

72

Hornbach Holding AG & Co. KGaA

 

1,267

 

123

Hugo Boss AG

 

3,367

 

128

Mercedes-Benz Group AG

 

3,644

 

215

TUI AG

 

4,990

 

34

Zalando SE (a)

 

1,185

 

41

 

 

 

 

2,076

CONSUMER STAPLES 0.1%

 

 

 

 

Beiersdorf AG

 

1,403

 

181

KWS Saat SE & Co. KGaA

 

2,316

 

141

Suedzucker AG

 

5,629

 

70

 

 

 

 

392

FINANCIALS 1.0%

 

 

 

 

Allianz SE

 

2,545

 

974

Commerzbank AG

 

30,255

 

692

Deutsche Bank AG

 

33,117

 

790

Deutsche Boerse AG

 

1,743

 

514

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Deutsche Pfandbriefbank AG

 

13,089

 

77

Talanx AG

 

2,010

 

211

 

 

 

 

3,258

HEALTH CARE 0.5%

 

 

 

 

BioNTech SE (a)

 

740

 

67

Fresenius Medical Care AG

 

9,938

 

495

Fresenius SE & Co. KGaA

 

7,706

 

329

Gerresheimer AG

 

1,039

 

79

Merck KGaA

 

2,505

 

345

Siemens Healthineers AG

 

2,798

 

151

 

 

 

 

1,466

INDUSTRIALS 1.0%

 

 

 

 

Bilfinger SE

 

2,787

 

201

Deutsche Lufthansa AG

 

13,663

 

100

Deutsche Post AG

 

16,450

 

706

Duerr AG

 

853

 

22

Hapag-Lloyd AG

 

534

 

81

Hochtief AG

 

623

 

106

KION Group AG

 

1,008

 

42

Knorr-Bremse AG

 

1,273

 

116

Krones AG

 

1,204

 

164

MTU Aero Engines AG

 

1,041

 

362

Rational AG

 

96

 

80

Rheinmetall AG

 

490

 

701

Siemens AG

 

1,485

 

343

 

 

 

 

3,024

INFORMATION TECHNOLOGY 0.9%

 

 

 

 

Infineon Technologies AG

 

6,886

 

230

SAP SE

 

9,197

 

2,464

 

 

 

 

2,694

MATERIALS 0.5%

 

 

 

 

Aurubis AG

 

460

 

44

BASF SE

 

7,745

 

388

Evonik Industries AG

 

1,990

 

43

Heidelberg Materials AG

 

1,195

 

206

K&S AG

 

16,815

 

230

Lanxess AG

 

2,268

 

69

Salzgitter AG

 

4,784

 

123

Symrise AG

 

2,751

 

285

thyssenkrupp AG

 

11,045

 

113

 

 

 

 

1,501

REAL ESTATE 0.3%

 

 

 

 

LEG Immobilien SE

 

3,788

 

268

TAG Immobilien AG

 

5,889

 

80

Vonovia SE

 

24,119

 

649

 

 

 

 

997

UTILITIES 0.0%

 

 

 

 

E.ON SE

 

4,350

 

65

Total Germany

 

 

 

17,722

HONG KONG 1.4%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

HKBN Ltd.

 

77,000

 

51

HKT Trust & HKT Ltd.

 

106,000

 

142

PCCW Ltd.

 

299,295

 

186

 

 

 

 

379

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Bosideng International Holdings Ltd.

 

200,000

 

103

Chow Tai Fook Jewellery Group Ltd.

 

60,400

 

68

Galaxy Entertainment Group Ltd.

 

13,000

 

51

Man Wah Holdings Ltd.

 

40,000

 

23

Skyworth Group Ltd.

 

184,000

 

67

 

 

 

 

312

CONSUMER STAPLES 0.1%

 

 

 

 

WH Group Ltd.

 

189,000

 

173

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

FINANCIALS 0.4%

 

 

 

 

Futu Holdings Ltd.

 

1,733

 

177

Hang Seng Bank Ltd.

 

15,200

 

207

Hong Kong Exchanges & Clearing Ltd.

 

13,600

 

605

Prudential PLC

 

20,610

 

223

 

 

 

 

1,212

INDUSTRIALS 0.3%

 

 

 

 

Cathay Pacific Airways Ltd.

 

38,000

 

51

CK Hutchison Holdings Ltd.

 

45,500

 

256

Jardine Matheson Holdings Ltd.

 

3,800

 

160

MTR Corp. Ltd.

 

49,000

 

161

Pacific Basin Shipping Ltd.

 

157,000

 

35

SITC International Holdings Co. Ltd.

 

13,000

 

35

Swire Pacific Ltd. 'A'

 

19,000

 

168

Xinyi Glass Holdings Ltd.

 

44,000

 

44

 

 

 

 

910

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Kingboard Holdings Ltd.

 

24,700

 

71

Kingboard Laminates Holdings Ltd.

 

52,000

 

60

 

 

 

 

131

REAL ESTATE 0.2%

 

 

 

 

CK Asset Holdings Ltd.

 

43,500

 

176

Hongkong Land Holdings Ltd.

 

43,800

 

189

New World Development Co. Ltd.

 

48,000

 

31

Sino Land Co. Ltd.

 

10,000

 

10

Sun Hung Kai Properties Ltd.

 

38,000

 

362

Wharf Holdings Ltd.

 

41,000

 

97

 

 

 

 

865

UTILITIES 0.2%

 

 

 

 

China Gas Holdings Ltd.

 

19,800

 

18

CK Infrastructure Holdings Ltd.

 

11,000

 

66

CLP Holdings Ltd.

 

23,600

 

192

HK Electric Investments & HK Electric Investments Ltd.

 

71,500

 

49

Hong Kong & China Gas Co. Ltd.

 

91,972

 

79

Power Assets Holdings Ltd.

 

25,000

 

150

 

 

 

 

554

Total Hong Kong

 

 

 

4,536

IRELAND 1.6%

 

 

 

 

CONSUMER STAPLES 0.2%

 

 

 

 

Glanbia PLC

 

9,991

 

110

Kerry Group PLC 'A'

 

3,084

 

323

 

 

 

 

433

FINANCIALS 0.0%

 

 

 

 

Bank of Ireland Group PLC

 

3,226

 

38

HEALTH CARE 0.7%

 

 

 

 

Medtronic PLC

 

24,387

 

2,191

INDUSTRIALS 0.6%

 

 

 

 

Allegion PLC

 

1,121

 

146

Experian PLC

 

15,079

 

699

Grafton Group PLC

 

7,340

 

82

Kingspan Group PLC

 

1,863

 

150

Trane Technologies PLC

 

2,647

 

892

 

 

 

 

1,969

MATERIALS 0.1%

 

 

 

 

James Hardie Industries PLC (a)

 

12,262

 

293

Total Ireland

 

 

 

4,924

ISRAEL 1.4%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Bezeq The Israeli Telecommunication Corp. Ltd.

 

62,840

 

93

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Delta Galil Ltd.

 

1,425

 

68

Electra Consumer Products 1970 Ltd.

 

1,824

 

48

 

 

 

 

116

CONSUMER STAPLES 0.1%

 

 

 

 

M Yochananof & Sons Ltd.

 

1,428

 

91

Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.

 

2,179

 

156

Strauss Group Ltd.

 

2,898

 

61

 

 

 

 

308

ENERGY 0.0%

 

 

 

 

Delek Group Ltd.

 

348

 

54

Oil Refineries Ltd.

 

209,058

 

50

Paz Retail & Energy Ltd.

 

281

 

37

 

 

 

 

141

FINANCIALS 0.4%

 

 

 

 

Bank Hapoalim BM

 

22,630

 

307

Bank Leumi Le-Israel BM

 

29,545

 

398

Harel Insurance Investments & Financial Services Ltd.

 

8,384

 

134

Israel Discount Bank Ltd. 'A'

 

24,760

 

172

Menora Mivtachim Holdings Ltd.

 

2,389

 

120

Mizrahi Tefahot Bank Ltd.

 

3,318

 

149

Plus500 Ltd.

 

3,080

 

109

 

 

 

 

1,389

HEALTH CARE 0.1%

 

 

 

 

Teva Pharmaceutical Industries Ltd. SP ADR (a)

 

9,492

 

146

INDUSTRIALS 0.2%

 

 

 

 

Danel Adir Yeoshua Ltd.

 

882

 

89

Elbit Systems Ltd.

 

268

 

103

Elco Ltd.

 

898

 

34

Electra Ltd.

 

63

 

29

Hilan Ltd.

 

2,537

 

155

ZIM Integrated Shipping Services Ltd.

 

14,077

 

205

 

 

 

 

615

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Check Point Software Technologies Ltd. (a)

 

2,214

 

505

CyberArk Software Ltd. (a)

 

340

 

115

Monday.com Ltd. (a)

 

264

 

64

Nice Ltd. (a)

 

560

 

86

Wix.com Ltd. (a)

 

848

 

139

 

 

 

 

909

MATERIALS 0.1%

 

 

 

 

ICL Group Ltd.

 

30,791

 

175

Israel Corp. Ltd.

 

112

 

30

 

 

 

 

205

REAL ESTATE 0.2%

 

 

 

 

Africa Israel Residences Ltd.

 

2,143

 

130

Azrieli Group Ltd.

 

429

 

29

Big Shopping Centers Ltd. (a)

 

889

 

123

Melisron Ltd.

 

1,618

 

126

YH Dimri Construction & Development Ltd.

 

923

 

75

 

 

 

 

483

Total Israel

 

 

 

4,405

ITALY 3.4%

 

 

 

 

COMMUNICATION SERVICES 0.2%

 

 

 

 

Infrastrutture Wireless Italiane SpA

 

8,829

 

94

MFE-MediaForEurope NV 'A'

 

15,435

 

56

MFE-MediaForEurope NV 'B'

 

5,419

 

27

Telecom Italia SpA

 

1,140,686

 

385

 

 

 

 

562

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Brembo NV

 

7,828

 

67

Ferrari NV

 

754

 

322

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Moncler SpA

 

3,605

 

222

PRADA SpA

 

4,400

 

31

 

 

 

 

642

CONSUMER STAPLES 0.0%

 

 

 

 

Davide Campari-Milano NV

 

5,973

 

35

ENERGY 0.2%

 

 

 

 

Eni SpA

 

38,344

 

593

FINANCIALS 1.8%

 

 

 

 

Anima Holding SpA

 

19,123

 

145

Azimut Holding SpA

 

6,764

 

189

Banca Generali SpA

 

2,102

 

118

Banca IFIS SpA

 

7,301

 

170

Banca Mediolanum SpA

 

7,048

 

114

Banca Monte dei Paschi di Siena SpA

 

14,052

 

112

Banca Popolare di Sondrio SpA

 

29,536

 

357

Banco BPM SpA

 

39,189

 

399

BPER Banca SpA

 

81,791

 

642

FinecoBank Banca Fineco SpA

 

10,763

 

213

Generali

 

22,708

 

798

Intesa Sanpaolo SpA

 

149,015

 

768

Mediobanca Banca di Credito Finanziario SpA

 

3,039

 

57

Poste Italiane SpA

 

2,893

 

52

UniCredit SpA

 

18,716

 

1,051

Unipol Assicurazioni SpA

 

30,768

 

492

 

 

 

 

5,677

HEALTH CARE 0.1%

 

 

 

 

DiaSorin SpA

 

891

 

88

Recordati Industria Chimica e Farmaceutica SpA

 

3,155

 

179

 

 

 

 

267

INDUSTRIALS 0.4%

 

 

 

 

Enav SpA

 

15,146

 

60

Iveco Group NV

 

11,431

 

188

Leonardo SpA

 

21,455

 

1,045

Prysmian SpA

 

1,557

 

85

 

 

 

 

1,378

MATERIALS 0.1%

 

 

 

 

Buzzi SpA

 

2,626

 

127

UTILITIES 0.4%

 

 

 

 

Enel SpA

 

91,215

 

740

Iren SpA

 

31,474

 

80

Snam SpA

 

42,889

 

222

Terna - Rete Elettrica Nazionale

 

24,686

 

223

 

 

 

 

1,265

Total Italy

 

 

 

10,546

JAPAN 23.1%

 

 

 

 

COMMUNICATION SERVICES 2.4%

 

 

 

 

Capcom Co. Ltd.

 

16,200

 

400

CyberAgent, Inc.

 

13,900

 

106

DeNA Co. Ltd.

 

5,300

 

125

Fuji Media Holdings, Inc.

 

10,500

 

180

GungHo Online Entertainment, Inc.

 

4,000

 

78

Hakuhodo DY Holdings, Inc.

 

4,100

 

30

Internet Initiative Japan, Inc.

 

5,300

 

92

Kadokawa Corp.

 

2,300

 

55

Kakaku.com, Inc.

 

4,000

 

57

KDDI Corp.

 

77,600

 

1,226

Koei Tecmo Holdings Co. Ltd.

 

700

 

9

Konami Group Corp.

 

1,100

 

130

LY Corp.

 

28,800

 

97

Nexon Co. Ltd.

 

3,400

 

46

Nintendo Co. Ltd.

 

32,600

 

2,216

Nippon Telegraph & Telephone Corp.

 

1,238,400

 

1,197

Nippon Television Holdings, Inc.

 

9,400

 

193

Softbank Corp.

 

598,500

 

835

SoftBank Group Corp.

 

8,400

 

430

Square Enix Holdings Co. Ltd.

 

3,000

 

139

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Toho Co. Ltd.

 

900

 

45

 

 

 

 

7,686

CONSUMER DISCRETIONARY 3.8%

 

 

 

 

Adastria Co. Ltd.

 

4,100

 

78

Aisin Corp.

 

22,300

 

244

Arata Corp.

 

200

 

4

Asics Corp.

 

17,800

 

378

ASKUL Corp.

 

1,100

 

11

Bandai Namco Holdings, Inc.

 

11,000

 

369

Bridgestone Corp.

 

13,000

 

522

DCM Holdings Co. Ltd.

 

15,300

 

142

Doutor Nichires Holdings Co. Ltd.

 

1,900

 

31

EDION Corp.

 

10,000

 

125

Exedy Corp.

 

5,900

 

173

Fast Retailing Co. Ltd.

 

1,800

 

536

Food & Life Cos., Ltd.

 

3,800

 

114

Goldwin, Inc.

 

500

 

28

Haseko Corp.

 

3,400

 

45

Heiwa Corp.

 

700

 

11

Honda Motor Co. Ltd.

 

47,300

 

428

Iida Group Holdings Co. Ltd.

 

5,700

 

87

Isetan Mitsukoshi Holdings Ltd.

 

10,800

 

157

Isuzu Motors Ltd.

 

17,100

 

233

J Front Retailing Co. Ltd.

 

8,200

 

102

JTEKT Corp.

 

12,600

 

95

JVC Kenwood Corp.

 

10,100

 

85

K's Holdings Corp.

 

14,700

 

134

Kohnan Shoji Co. Ltd.

 

5,100

 

128

Koito Manufacturing Co. Ltd.

 

5,300

 

65

Mazda Motor Corp.

 

25,700

 

164

McDonald's Holdings Co. Japan Ltd.

 

5,500

 

210

Mitsubishi Motors Corp.

 

14,800

 

41

Mizuno Corp.

 

1,200

 

21

NHK Spring Co. Ltd.

 

10,200

 

110

Nikon Corp.

 

10,900

 

108

Nishimatsuya Chain Co. Ltd.

 

6,000

 

80

Nissan Motor Co. Ltd.

 

89,000

 

228

Nitori Holdings Co. Ltd.

 

2,000

 

196

NOK Corp.

 

10,000

 

147

Oriental Land Co. Ltd.

 

4,700

 

93

Paltac Corp.

 

100

 

3

Pan Pacific International Holdings Corp.

 

7,000

 

192

Panasonic Holdings Corp.

 

7,500

 

89

Rakuten Group, Inc.

 

38,600

 

221

Resorttrust, Inc.

 

1,800

 

18

Rinnai Corp.

 

300

 

7

Ryohin Keikaku Co. Ltd.

 

5,600

 

153

Saizeriya Co. Ltd.

 

4,700

 

135

Sangetsu Corp.

 

900

 

17

Sankyo Co. Ltd.

 

14,500

 

212

Sega Sammy Holdings, Inc.

 

5,800

 

112

Sekisui House Ltd.

 

8,400

 

188

Shimamura Co. Ltd.

 

1,600

 

92

Shimano, Inc.

 

1,300

 

183

Skylark Holdings Co. Ltd.

 

8,700

 

174

Sony Group Corp.

 

44,800

 

1,134

Stanley Electric Co. Ltd.

 

3,700

 

70

Subaru Corp.

 

3,000

 

54

Sumitomo Electric Industries Ltd.

 

25,600

 

427

Sumitomo Forestry Co. Ltd.

 

4,700

 

142

Sumitomo Rubber Industries Ltd.

 

11,100

 

140

Suzuki Motor Corp.

 

38,400

 

471

Takashimaya Co. Ltd.

 

19,400

 

158

Tokai Rika Co. Ltd.

 

5,200

 

78

Token Corp.

 

1,700

 

147

Tomy Co. Ltd.

 

7,600

 

177

Toyo Tire Corp.

 

3,700

 

68

Toyoda Gosei Co. Ltd.

 

5,600

 

101

Toyota Boshoku Corp.

 

6,300

 

84

Toyota Motor Corp.

 

20,100

 

355

TS Tech Co. Ltd.

 

5,800

 

65

USS Co. Ltd.

 

11,400

 

106

Yamada Holdings Co. Ltd.

 

42,400

 

122

Yamaha Corp.

 

2,100

 

16

Yamaha Motor Co. Ltd.

 

13,300

 

106

Zensho Holdings Co. Ltd.

 

3,800

 

205

ZOZO, Inc.

 

16,500

 

158

 

 

 

 

11,903

CONSUMER STAPLES 2.5%

 

 

 

 

Aeon Co. Ltd.

 

19,100

 

479

Ain Holdings, Inc.

 

100

 

3

Ajinomoto Co., Inc.

 

26,800

 

531

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Calbee, Inc.

 

4,800

 

90

Coca-Cola Bottlers Japan Holdings, Inc.

 

5,300

 

86

Cosmos Pharmaceutical Corp.

 

600

 

30

Earth Corp.

 

100

 

3

Ezaki Glico Co. Ltd.

 

1,000

 

31

Fuji Oil Holdings, Inc.

 

6,400

 

131

H2O Retailing Corp.

 

4,300

 

65

House Foods Group, Inc.

 

4,600

 

84

Itoham Yonekyu Holdings, Inc.

 

4,120

 

115

Japan Tobacco, Inc.

 

40,000

 

1,099

Kagome Co. Ltd.

 

4,500

 

88

Kao Corp.

 

14,700

 

636

Kewpie Corp.

 

7,900

 

154

Kikkoman Corp.

 

4,500

 

43

Kirin Holdings Co. Ltd.

 

32,300

 

448

Kobayashi Pharmaceutical Co. Ltd.

 

1,000

 

38

Kobe Bussan Co. Ltd.

 

5,600

 

130

Kusuri No. Aoki Holdings Co. Ltd.

 

900

 

20

Lion Corp.

 

6,800

 

80

Maruha Nichiro Corp.

 

4,900

 

107

MatsukiyoCocokara & Co.

 

4,000

 

63

MEIJI Holdings Co. Ltd.

 

7,600

 

165

Mitsubishi Shokuhin Co. Ltd.

 

4,000

 

131

Morinaga & Co. Ltd.

 

9,000

 

151

Morinaga Milk Industry Co. Ltd.

 

3,200

 

67

NH Foods Ltd.

 

4,700

 

157

Nichirei Corp.

 

8,600

 

102

Nippn Corp.

 

6,000

 

87

Nisshin Oillio Group Ltd.

 

4,500

 

145

Nisshin Seifun Group, Inc.

 

8,700

 

100

Nissin Foods Holdings Co. Ltd.

 

3,800

 

78

Pigeon Corp.

 

6,300

 

77

Rohto Pharmaceutical Co. Ltd.

 

5,200

 

78

Sakata Seed Corp.

 

200

 

5

Sapporo Holdings Ltd.

 

1,500

 

77

Seven & i Holdings Co. Ltd.

 

68,000

 

985

Sugi Holdings Co. Ltd.

 

2,300

 

43

Sundrug Co. Ltd.

 

3,800

 

107

Suntory Beverage & Food Ltd.

 

5,000

 

165

Toyo Suisan Kaisha Ltd.

 

1,500

 

89

Tsuruha Holdings, Inc.

 

600

 

37

Unicharm Corp.

 

17,300

 

138

United Super Markets Holdings, Inc.

 

10,400

 

57

Yakult Honsha Co. Ltd.

 

2,700

 

51

Yamazaki Baking Co. Ltd.

 

5,900

 

113

 

 

 

 

7,759

ENERGY 0.5%

 

 

 

 

Cosmo Energy Holdings Co. Ltd.

 

5,300

 

228

ENEOS Holdings, Inc.

 

112,000

 

591

Idemitsu Kosan Co. Ltd.

 

47,260

 

334

Inpex Corp.

 

24,100

 

335

Iwatani Corp.

 

3,300

 

33

Japan Petroleum Exploration Co. Ltd.

 

3,500

 

27

 

 

 

 

1,548

FINANCIALS 2.9%

 

 

 

 

Concordia Financial Group Ltd.

 

5,900

 

39

Credit Saison Co. Ltd.

 

1,000

 

24

Dai-ichi Life Holdings, Inc.

 

82,400

 

629

Daiwa Securities Group, Inc.

 

25,500

 

172

Gunma Bank Ltd.

 

3,800

 

32

Hirogin Holdings, Inc.

 

4,700

 

38

Hokuhoku Financial Group, Inc.

 

12,700

 

220

Hyakujushi Bank Ltd.

 

6,100

 

143

Iyogin Holdings, Inc.

 

4,400

 

52

JAFCO Group Co. Ltd.

 

900

 

13

Japan Post Bank Co. Ltd.

 

45,000

 

457

Japan Post Holdings Co. Ltd.

 

63,000

 

632

Japan Post Insurance Co. Ltd.

 

6,400

 

130

Mebuki Financial Group, Inc.

 

6,800

 

33

Mitsubishi UFJ Financial Group, Inc.

 

69,300

 

945

Mizuho Financial Group, Inc.

 

57,600

 

1,581

MS&AD Insurance Group Holdings, Inc.

 

45,300

 

985

Nanto Bank Ltd.

 

6,000

 

160

Nishi-Nippon Financial Holdings, Inc.

 

14,300

 

202

Nomura Holdings, Inc.

 

35,300

 

218

Rakuten Bank Ltd. (a)

 

1,700

 

74

Resona Holdings, Inc.

 

13,000

 

113

Seven Bank Ltd.

 

51,100

 

96

Sompo Holdings, Inc.

 

8,700

 

265

Sumitomo Mitsui Financial Group, Inc.

 

31,700

 

815

Sumitomo Mitsui Trust Group, Inc.

 

3,500

 

88

T&D Holdings, Inc.

 

3,100

 

66

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Tokio Marine Holdings, Inc.

 

24,100

 

938

Zenkoku Hosho Co. Ltd.

 

400

 

8

 

 

 

 

9,168

HEALTH CARE 1.7%

 

 

 

 

Alfresa Holdings Corp.

 

9,300

 

132

Astellas Pharma, Inc.

 

35,700

 

348

Chugai Pharmaceutical Co. Ltd.

 

16,200

 

742

Eisai Co. Ltd.

 

3,000

 

83

Fukuda Denshi Co. Ltd.

 

800

 

34

H.U. Group Holdings, Inc.

 

4,700

 

86

Hoya Corp.

 

3,300

 

372

Kaken Pharmaceutical Co. Ltd.

 

4,400

 

132

Kyowa Kirin Co. Ltd.

 

1,400

 

20

M3, Inc.

 

7,700

 

88

Medipal Holdings Corp.

 

9,900

 

154

Nihon Kohden Corp.

 

1,600

 

22

Olympus Corp.

 

23,300

 

305

Ono Pharmaceutical Co. Ltd.

 

6,400

 

69

Otsuka Holdings Co. Ltd.

 

4,600

 

240

Santen Pharmaceutical Co. Ltd.

 

10,000

 

95

Sawai Group Holdings Co. Ltd.

 

4,100

 

55

Shionogi & Co. Ltd.

 

17,600

 

266

Suzuken Co. Ltd.

 

4,600

 

152

Sysmex Corp.

 

3,200

 

61

Takeda Pharmaceutical Co. Ltd.

 

45,041

 

1,335

Terumo Corp.

 

18,000

 

339

Toho Holdings Co. Ltd.

 

5,600

 

167

Tsumura & Co.

 

4,500

 

130

 

 

 

 

5,427

INDUSTRIALS 4.3%

 

 

 

 

AGC, Inc.

 

3,500

 

107

ANA Holdings, Inc.

 

4,300

 

79

Central Japan Railway Co.

 

9,800

 

187

COMSYS Holdings Corp.

 

5,000

 

106

Dai Nippon Printing Co. Ltd.

 

14,000

 

199

Daikin Industries Ltd.

 

1,800

 

195

DMG Mori Co. Ltd.

 

6,400

 

125

East Japan Railway Co.

 

20,100

 

396

EXEO Group, Inc.

 

10,200

 

115

FANUC Corp.

 

12,500

 

341

Fuji Electric Co. Ltd.

 

1,000

 

43

Fujikura Ltd.

 

8,200

 

304

Fujitec Co. Ltd.

 

4,800

 

191

Furukawa Electric Co. Ltd.

 

3,100

 

105

Glory Ltd.

 

1,200

 

21

Hanwa Co. Ltd.

 

4,500

 

147

Hazama Ando Corp.

 

9,700

 

89

Hikari Tsushin, Inc.

 

400

 

103

Hino Motors Ltd.

 

21,500

 

61

Hitachi Ltd.

 

65,900

 

1,547

IHI Corp.

 

2,600

 

181

Japan Steel Works Ltd.

 

700

 

25

Kajima Corp.

 

7,000

 

143

Kamigumi Co. Ltd.

 

4,800

 

112

Kanadevia Corp.

 

16,500

 

102

Kandenko Co. Ltd.

 

13,000

 

234

Kawasaki Heavy Industries Ltd.

 

3,700

 

223

Keihan Holdings Co. Ltd.

 

600

 

13

Kinden Corp.

 

6,000

 

135

Kintetsu Group Holdings Co. Ltd. 'L'

 

4,600

 

98

Komatsu Ltd.

 

4,900

 

144

Kyushu Railway Co.

 

3,900

 

95

Lixil Corp.

 

5,100

 

59

Marubeni Corp.

 

14,900

 

239

MEITEC Group Holdings, Inc.

 

4,400

 

86

MIRAIT ONE Corp.

 

5,500

 

80

Mitsubishi Heavy Industries Ltd.

 

67,300

 

1,156

Mitsui OSK Lines Ltd.

 

6,300

 

219

MonotaRO Co. Ltd.

 

8,600

 

161

Nagase & Co. Ltd.

 

5,700

 

101

Nagoya Railroad Co. Ltd.

 

3,500

 

41

Nankai Electric Railway Co. Ltd.

 

4,900

 

80

Nidec Corp.

 

6,100

 

102

Nippon Express Holdings, Inc.

 

1,700

 

31

Nippon Yusen KK

 

11,700

 

387

Nisshinbo Holdings, Inc.

 

15,100

 

92

NSK Ltd.

 

23,800

 

102

Obayashi Corp.

 

16,400

 

219

Park24 Co. Ltd.

 

2,300

 

32

Penta-Ocean Construction Co. Ltd.

 

11,500

 

55

Persol Holdings Co. Ltd.

 

48,400

 

81

Recruit Holdings Co. Ltd.

 

15,300

 

793

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Sanwa Holdings Corp.

 

4,500

 

144

Secom Co. Ltd.

 

6,500

 

221

Seibu Holdings, Inc.

 

4,200

 

93

Seino Holdings Co. Ltd.

 

6,400

 

99

Sekisui Chemical Co. Ltd.

 

6,500

 

111

Senko Group Holdings Co. Ltd.

 

11,200

 

113

SG Holdings Co. Ltd.

 

8,900

 

89

Shinmaywa Industries Ltd.

 

10,100

 

95

SHO-BOND Holdings Co. Ltd.

 

200

 

6

SMC Corp.

 

100

 

36

Sohgo Security Services Co. Ltd.

 

14,700

 

111

Sojitz Corp.

 

7,140

 

157

Sotetsu Holdings, Inc.

 

5,000

 

73

Sumitomo Heavy Industries Ltd.

 

1,900

 

39

Taikisha Ltd.

 

9,200

 

141

Taisei Corp.

 

6,100

 

272

Takeuchi Manufacturing Co. Ltd.

 

4,900

 

168

TechnoPro Holdings, Inc.

 

4,300

 

95

Tobu Railway Co. Ltd.

 

3,800

 

65

Tokyu Corp.

 

12,700

 

143

TOPPAN Holdings, Inc.

 

8,300

 

227

TOTO Ltd.

 

900

 

23

Toyota Tsusho Corp.

 

22,200

 

374

West Japan Railway Co.

 

6,800

 

133

Yamato Holdings Co. Ltd.

 

10,300

 

135

Yaskawa Electric Corp.

 

4,000

 

100

Yuasa Trading Co. Ltd.

 

4,500

 

137

 

 

 

 

13,482

INFORMATION TECHNOLOGY 2.5%

 

 

 

 

Advantest Corp.

 

10,600

 

472

Alps Alpine Co. Ltd.

 

14,300

 

146

Azbil Corp.

 

3,300

 

26

BIPROGY, Inc.

 

4,400

 

136

Brother Industries Ltd.

 

5,000

 

90

Canon Marketing Japan, Inc.

 

4,100

 

140

Canon, Inc.

 

9,000

 

281

Citizen Watch Co. Ltd.

 

21,200

 

127

Daiwabo Holdings Co. Ltd.

 

5,600

 

95

Dexerials Corp.

 

4,700

 

58

Disco Corp.

 

1,000

 

204

DTS Corp.

 

4,900

 

131

Fuji Soft, Inc.

 

1,200

 

79

FUJIFILM Holdings Corp.

 

22,300

 

427

Fujitsu Ltd.

 

44,200

 

880

Horiba Ltd.

 

100

 

7

Hosiden Corp.

 

6,100

 

81

Keyence Corp.

 

100

 

39

Kokusai Electric Corp.

 

3,200

 

53

Konica Minolta, Inc.

 

38,900

 

131

Murata Manufacturing Co. Ltd.

 

19,500

 

301

NEC Corp.

 

51,500

 

1,097

Nippon Electric Glass Co. Ltd.

 

6,100

 

142

Nomura Research Institute Ltd.

 

8,600

 

280

NS Solutions Corp.

 

2,300

 

59

NTT Data Group Corp.

 

5,400

 

98

Obic Co. Ltd.

 

7,600

 

219

Omron Corp.

 

3,300

 

93

Oracle Corp. Japan

 

400

 

42

Otsuka Corp.

 

8,900

 

193

Renesas Electronics Corp.

 

2,400

 

32

Ricoh Co. Ltd.

 

25,500

 

270

Sanken Electric Co. Ltd.

 

500

 

23

SCSK Corp.

 

6,300

 

156

Seiko Epson Corp.

 

5,800

 

93

Shimadzu Corp.

 

1,200

 

30

TDK Corp.

 

18,000

 

189

TIS, Inc.

 

5,500

 

152

Tokyo Electron Ltd.

 

3,800

 

521

Tokyo Seimitsu Co. Ltd.

 

500

 

27

Topcon Corp.

 

1,000

 

22

Toshiba TEC Corp.

 

200

 

4

Trend Micro, Inc.

 

3,300

 

223

Ulvac, Inc.

 

1,100

 

38

 

 

 

 

7,907

MATERIALS 1.4%

 

 

 

 

ARE Holdings, Inc.

 

5,000

 

66

Daicel Corp.

 

10,900

 

95

DIC Corp.

 

1,000

 

20

Dowa Holdings Co. Ltd.

 

200

 

6

FP Corp.

 

200

 

4

JFE Holdings, Inc.

 

13,300

 

163

Kaneka Corp.

 

4,400

 

112

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Kobe Steel Ltd.

 

19,000

 

221

Kuraray Co. Ltd.

 

6,400

 

79

Mitsubishi Chemical Group Corp.

 

54,000

 

267

Mitsubishi Materials Corp.

 

8,000

 

131

Mitsui Chemicals, Inc.

 

6,100

 

137

Mitsui Mining & Smelting Co. Ltd.

 

3,800

 

111

Nippon Light Metal Holdings Co. Ltd.

 

1,000

 

10

Nippon Paper Industries Co. Ltd. 'L'

 

26,000

 

175

Nippon Sanso Holdings Corp.

 

700

 

21

Nippon Steel Corp.

 

22,300

 

477

Nissan Chemical Corp.

 

600

 

18

Nitto Denko Corp.

 

20,000

 

370

Oji Holdings Corp.

 

29,900

 

125

Osaka Soda Co. Ltd.

 

2,000

 

22

Rengo Co. Ltd.

 

4,600

 

25

Shin-Etsu Chemical Co. Ltd.

 

12,500

 

357

Sumitomo Chemical Co. Ltd.

 

94,600

 

229

Sumitomo Osaka Cement Co. Ltd.

 

4,900

 

118

Taiheiyo Cement Corp.

 

6,100

 

160

Teijin Ltd.

 

3,700

 

33

Tokuyama Corp.

 

5,600

 

105

Tokyo Ohka Kogyo Co. Ltd.

 

4,300

 

90

Tokyo Steel Manufacturing Co. Ltd.

 

10,300

 

109

Toray Industries, Inc.

 

8,400

 

58

Tosoh Corp.

 

5,600

 

77

Toyo Seikan Group Holdings Ltd.

 

8,700

 

143

UACJ Corp.

 

1,000

 

32

UBE Corp.

 

6,100

 

89

 

 

 

 

4,255

REAL ESTATE 0.2%

 

 

 

 

Aeon Mall Co. Ltd.

 

3,600

 

56

Daito Trust Construction Co. Ltd.

 

3,100

 

317

Daiwa House Industry Co. Ltd.

 

4,500

 

149

 

 

 

 

522

UTILITIES 0.9%

 

 

 

 

Chubu Electric Power Co., Inc.

 

24,300

 

264

Chugoku Electric Power Co., Inc.

 

21,400

 

123

Electric Power Development Co. Ltd. 'C'

 

9,300

 

157

Hokkaido Electric Power Co., Inc.

 

40,900

 

208

Hokuriku Electric Power Co.

 

20,600

 

115

Kansai Electric Power Co., Inc.

 

30,600

 

363

Kyushu Electric Power Co., Inc.

 

25,700

 

224

Nippon Gas Co. Ltd.

 

3,700

 

55

Osaka Gas Co. Ltd.

 

11,400

 

258

Shikoku Electric Power Co., Inc.

 

15,500

 

120

Toho Gas Co. Ltd.

 

4,800

 

132

Tohoku Electric Power Co., Inc.

 

25,700

 

177

Tokyo Electric Power Co. Holdings, Inc. (a)

 

61,400

 

177

Tokyo Gas Co. Ltd.

 

15,800

 

503

 

 

 

 

2,876

Total Japan

 

 

 

72,533

LUXEMBOURG 0.4%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

RTL Group SA

 

2,095

 

79

SES SA

 

21,134

 

126

 

 

 

 

205

HEALTH CARE 0.0%

 

 

 

 

Eurofins Scientific SE (a)

 

1,521

 

81

MATERIALS 0.2%

 

 

 

 

APERAM SA

 

4,839

 

158

ArcelorMittal SA

 

15,895

 

459

 

 

 

 

617

REAL ESTATE 0.1%

 

 

 

 

Aroundtown SA

 

84,080

 

230

Total Luxembourg

 

 

 

1,133

NETHERLANDS 4.0%

 

 

 

 

COMMUNICATION SERVICES 0.3%

 

 

 

 

Koninklijke KPN NV

 

174,676

 

740

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Universal Music Group NV

 

7,860

 

217

 

 

 

 

957

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Prosus NV

 

8,610

 

400

Stellantis NV

 

24,429

 

274

 

 

 

 

674

CONSUMER STAPLES 1.0%

 

 

 

 

Heineken Holding NV

 

2,532

 

183

Heineken NV

 

4,337

 

354

Koninklijke Ahold Delhaize NV

 

68,598

 

2,562

 

 

 

 

3,099

ENERGY 0.1%

 

 

 

 

Koninklijke Vopak NV

 

3,345

 

145

SBM Offshore NV

 

2,604

 

56

 

 

 

 

201

FINANCIALS 1.0%

 

 

 

 

ABN AMRO Bank NV - Dutch Certificate

 

26,960

 

568

Adyen NV (a)

 

211

 

323

Aegon Ltd.

 

54,734

 

360

ASR Nederland NV

 

3,480

 

200

Euronext NV

 

2,576

 

374

ING Groep NV

 

46,808

 

917

NN Group NV

 

5,282

 

294

 

 

 

 

3,036

HEALTH CARE 0.1%

 

 

 

 

Argenx SE ADR (a)

 

346

 

205

Koninklijke Philips NV

 

8,474

 

216

Qiagen NV

 

2,587

 

102

 

 

 

 

523

INDUSTRIALS 0.5%

 

 

 

 

Arcadis NV

 

2,628

 

134

Ferrovial SE

 

2,519

 

113

IMCD NV

 

966

 

129

Randstad NV

 

4,196

 

174

TKH Group NV - Dutch Certificate

 

1,089

 

43

Wolters Kluwer NV

 

6,426

 

1,000

 

 

 

 

1,593

INFORMATION TECHNOLOGY 0.5%

 

 

 

 

ASM International NV

 

506

 

231

ASML Holding NV

 

1,144

 

757

BE Semiconductor Industries NV

 

1,157

 

121

NXP Semiconductors NV

 

2,343

 

445

 

 

 

 

1,554

MATERIALS 0.3%

 

 

 

 

Akzo Nobel NV

 

13,032

 

803

OCI NV

 

5,180

 

60

 

 

 

 

863

Total Netherlands

 

 

 

12,500

NEW ZEALAND 0.2%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Spark New Zealand Ltd.

 

43,099

 

50

HEALTH CARE 0.0%

 

 

 

 

Fisher & Paykel Healthcare Corp. Ltd. 'C'

 

6,566

 

125

INDUSTRIALS 0.1%

 

 

 

 

Auckland International Airport Ltd.

 

17,778

 

83

Fletcher Building Ltd.

 

27,910

 

52

 

 

 

 

135

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Xero Ltd. (a)

 

946

 

93

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

UTILITIES 0.1%

 

 

 

 

Contact Energy Ltd.

 

16,816

 

88

Meridian Energy Ltd.

 

23,754

 

75

 

 

 

 

163

Total New Zealand

 

 

 

566

NORWAY 1.3%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Schibsted ASA 'A'

 

990

 

27

Telenor ASA

 

29,953

 

428

 

 

 

 

455

CONSUMER STAPLES 0.2%

 

 

 

 

Mowi ASA

 

15,725

 

292

Orkla ASA

 

28,016

 

307

Salmar ASA

 

1,327

 

64

 

 

 

 

663

ENERGY 0.3%

 

 

 

 

Aker Solutions ASA

 

41,727

 

134

Equinor ASA

 

21,679

 

573

Frontline PLC

 

3,535

 

52

Var Energi ASA

 

9,720

 

31

 

 

 

 

790

FINANCIALS 0.3%

 

 

 

 

DNB Bank ASA

 

23,438

 

616

Gjensidige Forsikring ASA

 

5,299

 

122

SpareBank 1 Nord Norge

 

3,018

 

41

Storebrand ASA

 

2,683

 

34

 

 

 

 

813

INDUSTRIALS 0.2%

 

 

 

 

Kongsberg Gruppen ASA

 

2,736

 

401

MPC Container Ships ASA

 

16,423

 

25

Tomra Systems ASA

 

8,510

 

121

Wallenius Wilhelmsen ASA

 

2,836

 

20

 

 

 

 

567

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Atea ASA

 

11,763

 

145

MATERIALS 0.2%

 

 

 

 

Norsk Hydro ASA

 

28,624

 

165

Yara International ASA

 

10,493

 

317

 

 

 

 

482

Total Norway

 

 

 

3,915

PORTUGAL 0.3%

 

 

 

 

CONSUMER STAPLES 0.0%

 

 

 

 

Jeronimo Martins SGPS SA

 

5,945

 

126

ENERGY 0.1%

 

 

 

 

Galp Energia SGPS SA

 

7,224

 

127

FINANCIALS 0.0%

 

 

 

 

Banco Comercial Portugues SA

 

81,370

 

49

UTILITIES 0.2%

 

 

 

 

EDP SA

 

144,469

 

486

REN - Redes Energeticas Nacionais SGPS SA

 

30,593

 

91

 

 

 

 

577

Total Portugal

 

 

 

879

SINGAPORE 1.9%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

JOYY, Inc. ADR

 

873

 

37

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

NetLink NBN Trust

 

111,700

 

73

Sea Ltd. (a)

 

5,574

 

727

Singapore Telecommunications Ltd.

 

290,200

 

736

 

 

 

 

1,573

CONSUMER STAPLES 0.1%

 

 

 

 

Golden Agri-Resources Ltd.

 

660,300

 

133

Wilmar International Ltd.

 

90,100

 

223

 

 

 

 

356

FINANCIALS 0.9%

 

 

 

 

DBS Group Holdings Ltd.

 

42,070

 

1,445

Oversea-Chinese Banking Corp. Ltd.

 

45,600

 

584

Singapore Exchange Ltd.

 

5,500

 

54

United Overseas Bank Ltd.

 

25,500

 

720

 

 

 

 

2,803

INDUSTRIALS 0.3%

 

 

 

 

ComfortDelGro Corp. Ltd.

 

79,900

 

87

Grab Holdings Ltd. 'A' (a)

 

5,945

 

27

Jardine Cycle & Carriage Ltd.

 

4,300

 

84

Keppel Ltd.

 

30,300

 

155

Singapore Airlines Ltd.

 

57,800

 

291

Singapore Technologies Engineering Ltd.

 

52,000

 

261

 

 

 

 

905

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Venture Corp. Ltd.

 

10,300

 

94

UTILITIES 0.1%

 

 

 

 

Sembcorp Industries Ltd.

 

49,300

 

231

Total Singapore

 

 

 

5,962

SOUTH AFRICA 0.0%

 

 

 

 

FINANCIALS 0.0%

 

 

 

 

Investec PLC

 

6,104

 

38

Total South Africa

 

 

 

38

SPAIN 3.9%

 

 

 

 

COMMUNICATION SERVICES 0.5%

 

 

 

 

Cellnex Telecom SA

 

6,337

 

225

Telefonica SA

 

277,697

 

1,309

 

 

 

 

1,534

CONSUMER DISCRETIONARY 0.3%

 

 

 

 

Amadeus IT Group SA

 

1,901

 

145

Gestamp Automocion SA

 

23,292

 

66

Industria de Diseno Textil SA

 

13,191

 

657

 

 

 

 

868

CONSUMER STAPLES 0.0%

 

 

 

 

Viscofan SA

 

2,112

 

146

ENERGY 0.1%

 

 

 

 

Repsol SA

 

27,590

 

366

FINANCIALS 1.3%

 

 

 

 

Banco Bilbao Vizcaya Argentaria SA

 

29,484

 

402

Banco de Sabadell SA

 

411,191

 

1,155

Banco Santander SA

 

245,085

 

1,651

Bankinter SA

 

7,405

 

82

CaixaBank SA

 

23,455

 

183

Mapfre SA

 

93,999

 

290

Unicaja Banco SA

 

172,540

 

319

 

 

 

 

4,082

HEALTH CARE 0.1%

 

 

 

 

Almirall SA

 

7,574

 

80

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Grifols SA (a)

 

11,725

 

105

 

 

 

 

185

INDUSTRIALS 0.3%

 

 

 

 

ACS Actividades de Construccion y Servicios SA

 

7,771

 

445

Aena SME SA

 

688

 

161

Logista Integral SA

 

4,993

 

159

Sacyr SA

 

34,993

 

122

 

 

 

 

887

MATERIALS 0.0%

 

 

 

 

Acerinox SA

 

9,765

 

114

UTILITIES 1.3%

 

 

 

 

EDP Renovaveis SA

 

4,881

 

41

Enagas SA

 

7,067

 

102

Endesa SA

 

19,425

 

515

Iberdrola SA

 

171,512

 

2,769

Naturgy Energy Group SA

 

10,235

 

285

Redeia Corp. SA

 

19,343

 

388

 

 

 

 

4,100

Total Spain

 

 

 

12,282

SWEDEN 2.8%

 

 

 

 

COMMUNICATION SERVICES 0.6%

 

 

 

 

Spotify Technology SA (a)

 

1,240

 

682

Tele2 AB 'B'

 

28,547

 

385

Telia Co. AB

 

221,006

 

798

 

 

 

 

1,865

CONSUMER DISCRETIONARY 0.2%

 

 

 

 

Autoliv, Inc.

 

1,274

 

113

Betsson AB 'B' (a)

 

3,468

 

54

Bilia AB 'A'

 

5,682

 

73

Electrolux AB 'B' (a)

 

13,997

 

114

Scandic Hotels Group AB

 

25,385

 

188

 

 

 

 

542

CONSUMER STAPLES 0.3%

 

 

 

 

AAK AB

 

6,890

 

192

Axfood AB

 

3,418

 

77

Essity AB 'B'

 

20,989

 

596

 

 

 

 

865

FINANCIALS 0.2%

 

 

 

 

Svenska Handelsbanken AB 'A'

 

32,322

 

365

Swedbank AB 'A'

 

19,693

 

449

 

 

 

 

814

HEALTH CARE 0.1%

 

 

 

 

Elekta AB 'B'

 

3,732

 

19

Getinge AB 'B'

 

4,857

 

105

Swedish Orphan Biovitrum AB (a)

 

2,233

 

64

 

 

 

 

188

INDUSTRIALS 0.9%

 

 

 

 

AddTech AB 'B'

 

4,453

 

130

Assa Abloy AB 'B'

 

6,970

 

209

Atlas Copco AB 'A'

 

25,563

 

408

Beijer Ref AB

 

4,156

 

59

Epiroc AB 'A'

 

10,200

 

205

Indutrade AB

 

5,626

 

156

Lifco AB 'B'

 

2,496

 

89

Saab AB 'B'

 

1,648

 

65

Sandvik AB

 

14,094

 

296

Securitas AB 'B'

 

6,828

 

97

Skanska AB 'B'

 

3,134

 

69

SKF AB 'B'

 

6,818

 

138

Volvo AB 'B'

 

29,370

 

862

 

 

 

 

2,783

INFORMATION TECHNOLOGY 0.4%

 

 

 

 

Mycronic AB

 

1,716

 

72

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Telefonaktiebolaget LM Ericsson 'B'

 

157,101

 

1,223

 

 

 

 

1,295

MATERIALS 0.1%

 

 

 

 

Boliden AB

 

1,049

 

34

Hexpol AB

 

5,093

 

45

SSAB AB 'A'

 

37,262

 

231

 

 

 

 

310

Total Sweden

 

 

 

8,662

SWITZERLAND 8.9%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Swisscom AG

 

699

 

403

CONSUMER DISCRETIONARY 0.6%

 

 

 

 

Cie Financiere Richemont SA 'A'

 

5,127

 

895

Garmin Ltd.

 

3,713

 

806

 

 

 

 

1,701

CONSUMER STAPLES 1.0%

 

 

 

 

Barry Callebaut AG

 

54

 

72

Chocoladefabriken Lindt & Spruengli AG

 

8

 

108

Coca-Cola HBC AG

 

2,911

 

132

Emmi AG

 

59

 

54

Nestle SA

 

26,188

 

2,646

 

 

 

 

3,012

FINANCIALS 2.3%

 

 

 

 

Baloise Holding AG

 

777

 

163

Banque Cantonale Vaudoise

 

1,273

 

139

Cembra Money Bank AG

 

1,356

 

153

Helvetia Holding AG

 

1,258

 

261

Julius Baer Group Ltd.

 

1,154

 

80

Partners Group Holding AG

 

256

 

364

St Galler Kantonalbank AG 'A'

 

156

 

86

Swiss Life Holding AG

 

843

 

769

Swiss Re AG

 

9,980

 

1,698

Valiant Holding AG

 

1,141

 

154

Vaudoise Assurances Holding SA (a)

 

129

 

83

Zurich Insurance Group AG

 

4,669

 

3,259

 

 

 

 

7,209

HEALTH CARE 2.5%

 

 

 

 

Galderma Group AG

 

541

 

57

Galenica AG

 

1,796

 

162

Lonza Group AG (a)

 

534

 

330

Novartis AG

 

21,905

 

2,433

Roche Holding AG

 

12,976

 

4,271

Sandoz Group AG

 

4,278

 

179

Sonova Holding AG

 

1,262

 

368

Straumann Holding AG

 

1,203

 

146

 

 

 

 

7,946

INDUSTRIALS 1.4%

 

 

 

 

ABB Ltd.

 

25,305

 

1,306

Adecco Group AG

 

10,359

 

311

Belimo Holding AG

 

99

 

61

Bucher Industries AG

 

207

 

87

Daetwyler Holding AG

 

559

 

73

DKSH Holding AG

 

1,357

 

103

dormakaba Holding AG

 

251

 

187

Flughafen Zurich AG

 

470

 

111

Forbo Holding AG

 

51

 

47

Geberit AG

 

395

 

247

Georg Fischer AG

 

734

 

54

Kuehne & Nagel International AG

 

1,357

 

313

Schindler Holding AG

 

1,952

 

612

SGS SA

 

3,499

 

349

Siemens Energy AG (a)

 

4,226

 

251

Sulzer AG

 

949

 

162

VAT Group AG

 

449

 

162

 

 

 

 

4,436

INFORMATION TECHNOLOGY 0.1%

 

 

 

 

ALSO Holding AG

 

118

 

32

Landis & Gyr Group AG

 

1,516

 

90

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Logitech International SA

 

2,066

 

175

Temenos AG

 

758

 

59

 

 

 

 

356

MATERIALS 0.6%

 

 

 

 

EMS-Chemie Holding AG

 

105

 

72

Givaudan SA

 

170

 

730

Glencore PLC

 

112,902

 

413

Holcim AG

 

4,711

 

507

SIG Group AG

 

4,931

 

91

Sika AG

 

600

 

146

 

 

 

 

1,959

REAL ESTATE 0.2%

 

 

 

 

Allreal Holding AG

 

481

 

100

PSP Swiss Property AG

 

1,792

 

280

Swiss Prime Site AG

 

2,618

 

321

 

 

 

 

701

UTILITIES 0.1%

 

 

 

 

BKW AG

 

902

 

158

Total Switzerland

 

 

 

27,881

UNITED KINGDOM 14.8%

 

 

 

 

COMMUNICATION SERVICES 0.7%

 

 

 

 

Auto Trader Group PLC

 

17,360

 

168

BT Group PLC

 

376,547

 

807

Vodafone Group PLC

 

967,095

 

909

WPP PLC

 

19,107

 

145

 

 

 

 

2,029

CONSUMER DISCRETIONARY 1.2%

 

 

 

 

B&M European Value Retail SA

 

55,607

 

188

Barratt Redrow PLC

 

28,605

 

157

Berkeley Group Holdings PLC

 

3,341

 

155

Burberry Group PLC

 

10,130

 

102

Compass Group PLC

 

17,605

 

582

Frasers Group PLC (a)

 

10,308

 

83

Games Workshop Group PLC

 

1,353

 

246

Greggs PLC

 

3,987

 

90

Inchcape PLC

 

9,508

 

82

InterContinental Hotels Group PLC

 

3,856

 

415

Kingfisher PLC

 

92,322

 

304

Mitchells & Butlers PLC (a)

 

28,653

 

79

Pearson PLC

 

25,950

 

411

Persimmon PLC

 

29,321

 

454

Pets at Home Group PLC

 

15,290

 

43

Taylor Wimpey PLC

 

182,604

 

257

 

 

 

 

3,648

CONSUMER STAPLES 4.3%

 

 

 

 

Associated British Foods PLC

 

4,831

 

120

British American Tobacco PLC

 

58,142

 

2,385

Coca-Cola Europacific Partners PLC

 

2,216

 

193

Cranswick PLC

 

1,781

 

113

Diageo PLC

 

13,628

 

356

Imperial Brands PLC

 

42,602

 

1,576

J Sainsbury PLC

 

175,025

 

534

Marks & Spencer Group PLC

 

163,999

 

757

Ocado Group PLC (a)

 

8,030

 

29

Premier Foods PLC

 

60,487

 

144

Reckitt Benckiser Group PLC

 

16,624

 

1,124

Tate & Lyle PLC

 

17,830

 

119

Tesco PLC

 

323,418

 

1,391

Unilever PLC

 

78,176

 

4,665

 

 

 

 

13,506

ENERGY 0.3%

 

 

 

 

BP PLC

 

94,599

 

531

Shell PLC

 

5,761

 

209

Subsea 7 SA

 

12,685

 

203

 

 

 

 

943

FINANCIALS 2.8%

 

 

 

 

3i Group PLC

 

23,561

 

1,108

Aberdeen Group PLC

 

64,350

 

129

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Admiral Group PLC

 

11,200

 

413

Aviva PLC

 

29,258

 

211

Barclays PLC

 

248,583

 

935

Beazley PLC

 

3,373

 

41

Direct Line Insurance Group PLC

 

92,013

 

335

HSBC Holdings PLC

 

147,962

 

1,677

IG Group Holdings PLC

 

19,832

 

245

Intermediate Capital Group PLC

 

4,150

 

106

Legal & General Group PLC

 

84,704

 

267

Lloyds Banking Group PLC

 

502,150

 

471

London Stock Exchange Group PLC

 

6,969

 

1,035

M&G PLC

 

158,845

 

409

Man Group PLC

 

53,381

 

137

NatWest Group PLC

 

162,680

 

961

Schroders PLC

 

21,670

 

98

St James's Place PLC

 

2,632

 

33

Standard Chartered PLC

 

20,168

 

299

 

 

 

 

8,910

HEALTH CARE 1.5%

 

 

 

 

AstraZeneca PLC

 

8,253

 

1,212

ConvaTec Group PLC

 

43,237

 

144

GSK PLC

 

129,635

 

2,477

Haleon PLC

 

142,339

 

719

Hikma Pharmaceuticals PLC

 

4,452

 

113

Smith & Nephew PLC

 

8,946

 

126

 

 

 

 

4,791

INDUSTRIALS 2.2%

 

 

 

 

Ashtead Group PLC

 

2,864

 

155

Babcock International Group PLC

 

4,673

 

44

BAE Systems PLC

 

88,340

 

1,784

Balfour Beatty PLC

 

25,021

 

140

Bunzl PLC

 

5,109

 

197

Diploma PLC

 

2,840

 

142

Firstgroup PLC

 

76,260

 

154

Howden Joinery Group PLC

 

23,460

 

219

IMI PLC

 

8,262

 

203

International Consolidated Airlines Group SA

 

70,656

 

239

International Distribution Services PLC

 

56,338

 

264

Intertek Group PLC

 

4,906

 

319

Morgan Sindall Group PLC

 

3,220

 

138

Pagegroup PLC

 

11,828

 

47

QinetiQ Group PLC

 

5,115

 

26

RELX PLC

 

37,059

 

1,861

Rentokil Initial PLC

 

32,402

 

147

Rolls-Royce Holdings PLC

 

56,889

 

553

Rotork PLC

 

8,788

 

36

RS Group PLC

 

10,049

 

73

Travis Perkins PLC

 

6,194

 

44

Weir Group PLC

 

5,392

 

163

 

 

 

 

6,948

INFORMATION TECHNOLOGY 0.2%

 

 

 

 

Computacenter PLC

 

2,626

 

83

Halma PLC

 

4,326

 

145

Sage Group PLC

 

17,926

 

282

 

 

 

 

510

MATERIALS 0.9%

 

 

 

 

Anglo American PLC

 

22,911

 

642

Anglogold Ashanti PLC

 

6,394

 

237

Croda International PLC

 

3,174

 

121

Johnson Matthey PLC

 

9,652

 

166

Mondi PLC

 

13,680

 

204

Rio Tinto PLC

 

24,436

 

1,467

 

 

 

 

2,837

UTILITIES 0.7%

 

 

 

 

Centrica PLC

 

138,323

 

268

Drax Group PLC

 

21,280

 

161

National Grid PLC

 

88,309

 

1,152

Severn Trent PLC

 

7,093

 

232

SSE PLC

 

10,213

 

210

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

United Utilities Group PLC

 

18,825

 

246

 

 

 

 

2,269

Total United Kingdom

 

 

 

46,391

UNITED STATES 0.2%

 

 

 

 

CONSUMER DISCRETIONARY 0.1%

 

 

 

 

Carnival PLC (a)

 

9,337

 

163

HEALTH CARE 0.0%

 

 

 

 

BeiGene Ltd. (a)

 

7,700

 

163

INDUSTRIALS 0.1%

 

 

 

 

RB Global, Inc.

 

3,759

 

377

Total United States

 

 

 

703

Total Common Stocks (Cost $267,048)

 

 

 

304,949

PREFERRED STOCKS 0.4%

 

 

 

 

GERMANY 0.4%

 

 

 

 

INDUSTRIALS 0.4%

 

 

 

 

Draegerwerk AG & Co. KGaA

 

849

 

59

Fuchs SE ~

 

5,603

 

270

Henkel AG & Co. KGaA

 

4,299

 

342

Sartorius AG

 

254

 

59

Volkswagen AG

 

5,637

 

575

 

 

 

 

1,305

Total Preferred Stocks (Cost $1,284)

 

 

 

1,305

REAL ESTATE INVESTMENT TRUSTS 1.1%

 

 

 

 

AUSTRALIA 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Charter Hall Group

 

18,603

 

189

Stockland

 

31,699

 

98

 

 

 

 

287

Total Australia

 

 

 

287

BELGIUM 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Cofinimmo SA

 

249

 

17

Retail Estates NV

 

2,194

 

143

Warehouses De Pauw CVA

 

2,616

 

62

 

 

 

 

222

Total Belgium

 

 

 

222

CANADA 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

Allied Properties Real Estate Investment Trust

 

2,629

 

30

Total Canada

 

 

 

30

FRANCE 0.2%

 

 

 

 

REAL ESTATE 0.2%

 

 

 

 

Altarea SCA

 

1,344

 

146

Klepierre SA

 

4,255

 

142

Unibail-Rodamco-Westfield

 

2,718

 

229

 

 

 

 

517

Total France

 

 

 

517

HONG KONG 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

Fortune Real Estate Investment Trust

 

91,000

 

48

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Link REIT

 

35,700

 

167

 

 

 

 

215

Total Hong Kong

 

 

 

215

JAPAN 0.5%

 

 

 

 

REAL ESTATE 0.5%

 

 

 

 

Activia Properties, Inc.

 

7

 

16

Advance Residence Investment Corp.

 

94

 

90

AEON REIT Investment Corp.

 

61

 

50

Daiwa House REIT Investment Corp.

 

46

 

73

Daiwa Office Investment Corp.

 

4

 

8

GLP J-Reit

 

59

 

48

Hulic Reit, Inc.

 

53

 

51

Industrial & Infrastructure Fund Investment Corp.

 

53

 

41

Invincible Investment Corp.

 

264

 

111

Japan Hotel REIT Investment Corp.

 

355

 

172

Japan Metropolitan Fund Invest

 

157

 

100

Japan Prime Realty Investment Corp.

 

8

 

18

Japan Real Estate Investment Corp.

 

78

 

56

KDX Realty Investment Corp.

 

62

 

61

LaSalle Logiport REIT

 

155

 

144

Mori Hills REIT Investment Corp.

 

54

 

48

Nippon Building Fund, Inc.

 

50

 

43

Nippon Prologis REIT, Inc.

 

43

 

66

Nomura Real Estate Master Fund, Inc.

 

61

 

58

Orix JREIT, Inc.

 

58

 

68

Sekisui House Reit, Inc.

 

149

 

79

United Urban Investment Corp.

 

95

 

94

 

 

 

 

1,495

Total Japan

 

 

 

1,495

LUXEMBOURG 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

Shurgard Self Storage Ltd.

 

2,567

 

93

Total Luxembourg

 

 

 

93

SINGAPORE 0.1%

 

 

 

 

REAL ESTATE 0.1%

 

 

 

 

CapitaLand Ascendas REIT

 

63,700

 

126

CapitaLand Integrated Commercial Trust

 

55,380

 

86

Keppel DC REIT

 

57,025

 

91

Keppel REIT

 

5,620

 

3

Mapletree Industrial Trust

 

47,335

 

74

 

 

 

 

380

Total Singapore

 

 

 

380

SPAIN 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

Inmobiliaria Colonial Socimi SA

 

5,420

 

32

Merlin Properties Socimi SA

 

3,205

 

34

 

 

 

 

66

Total Spain

 

 

 

66

UNITED KINGDOM 0.0%

 

 

 

 

REAL ESTATE 0.0%

 

 

 

 

Assura PLC

 

59,799

 

36

Big Yellow Group PLC

 

4,637

 

56

 

 

 

 

92

Total United Kingdom

 

 

 

92

Total Real Estate Investment Trusts (Cost $3,849)

 

 

 

3,397

RIGHTS 0.0%

 

 

 

 

UNITED KINGDOM 0.0%

 

 

 

 

Prudential PLC

 

20,610

 

3

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

         

Total Rights (Cost $0)

 

 

 

3

WARRANTS 0.0%

 

 

 

 

CANADA 0.0%

 

 

 

 

INFORMATION TECHNOLOGY 0.0%

 

 

 

 

Constellation Software, Inc. - Exp. 03/31/2040

 

58

 

0

Total Warrants (Cost $0)

 

 

 

0

Total Investments in Securities (Cost $272,181)

 

 

 

309,654

Total Investments 98.8% (Cost $272,181)

 

 

$

309,654

Other Assets and Liabilities, net 1.2%

 

 

 

3,676

Net Assets 100.0%

 

 

$

313,330

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

~

Variable or Floating rate security. Rate shown is the rate in effect as of period end. Certain variable rate securities are not based on a published reference rate and spread, rather are determined by the issuer or agent and are based on current market conditions. Reference rate is as of reset date, which may vary by security. These securities may not indicate a reference rate and/or spread in their description.

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

(a)

Security did not produce income within the last twelve months.

(b)

RESTRICTED SECURITIES:

Issuer Description

 

 

Acquisition
Date

 

Cost

 

Market
Value

Market Value
as Percentage
of Net Assets

Agnico Eagle Mines Ltd.

 

 

03/21/2025

$

407

$

423

0.14

%

Constellation Software, Inc.

 

 

03/01/2019 - 03/14/2025

 

181

 

291

0.09

 

Stella-Jones, Inc.

 

 

06/16/2023 - 03/14/2025

 

42

 

38

0.01

 

 

 

 

 

$

630

$

752

0.24%  

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Australia

 

Communication Services

$

0

$

467

$

0

$

467

 

 

Consumer Discretionary

 

0

 

1,476

 

0

 

1,476

 

 

Consumer Staples

 

0

 

991

 

0

 

991

 

 

Energy

 

0

 

165

 

0

 

165

 

 

Financials

 

0

 

4,171

 

0

 

4,171

 

 

Health Care

 

0

 

1,043

 

0

 

1,043

 

 

Industrials

 

0

 

1,310

 

0

 

1,310

 

 

Information Technology

 

0

 

125

 

0

 

125

 

 

Materials

 

0

 

2,870

 

0

 

2,870

 

 

Real Estate

 

0

 

63

 

0

 

63

 

 

Utilities

 

0

 

467

 

0

 

467

 

 

Austria

 

Energy

 

0

 

91

 

0

 

91

 

 

Financials

 

0

 

267

 

0

 

267

 

 

Industrials

 

0

 

104

 

0

 

104

 

 

Materials

 

0

 

133

 

0

 

133

 

 

Real Estate

 

84

 

0

 

0

 

84

 

 

Utilities

 

63

 

0

 

0

 

63

 

 

Belgium

 

Communication Services

 

0

 

65

 

0

 

65

 

 

Consumer Discretionary

 

0

 

65

 

0

 

65

 

 

Consumer Staples

 

146

 

45

 

0

 

191

 

 

Financials

 

0

 

253

 

0

 

253

 

 

Health Care

 

0

 

817

 

0

 

817

 

 

Industrials

 

0

 

134

 

0

 

134

 

 

Materials

 

0

 

94

 

0

 

94

 

 

Utilities

 

0

 

99

 

0

 

99

 

 

Canada

 

Communication Services

 

1,009

 

0

 

0

 

1,009

 

 

Consumer Discretionary

 

2,066

 

0

 

0

 

2,066

 

 

Consumer Staples

 

2,650

 

0

 

0

 

2,650

 

 

Energy

 

2,913

 

0

 

0

 

2,913

 

 

Financials

 

6,086

 

0

 

0

 

6,086

 

 

Health Care

 

25

 

0

 

0

 

25

 

 

Industrials

 

2,277

 

0

 

0

 

2,277

 

 

Information Technology

 

1,609

 

0

 

0

 

1,609

 

 

Materials

 

3,575

 

0

 

0

 

3,575

 

 

Real Estate

 

251

 

0

 

0

 

251

 

 

Utilities

 

1,081

 

0

 

0

 

1,081

 

 

Chile

 

Materials

 

0

 

225

 

0

 

225

 

 

Denmark

 

Consumer Discretionary

 

0

 

243

 

0

 

243

 

 

Consumer Staples

 

74

 

410

 

0

 

484

 

 

Financials

 

0

 

477

 

0

 

477

 

 

Health Care

 

0

 

1,978

 

0

 

1,978

 

 

Industrials

 

0

 

1,143

 

0

 

1,143

 

 

Materials

 

0

 

431

 

0

 

431

 

 

Utilities

 

0

 

210

 

0

 

210

 

 

Finland

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

Communication Services

 

194

 

0

 

0

 

194

 

 

Consumer Discretionary

 

0

 

27

 

0

 

27

 

 

Consumer Staples

 

0

 

193

 

0

 

193

 

 

Energy

 

0

 

65

 

0

 

65

 

 

Financials

 

120

 

944

 

0

 

1,064

 

 

Health Care

 

0

 

288

 

0

 

288

 

 

Industrials

 

0

 

1,061

 

0

 

1,061

 

 

Information Technology

 

0

 

362

 

0

 

362

 

 

Materials

 

0

 

409

 

0

 

409

 

 

Real Estate

 

0

 

92

 

0

 

92

 

 

Utilities

 

0

 

457

 

0

 

457

 

 

France

 

Communication Services

 

0

 

3,001

 

0

 

3,001

 

 

Consumer Discretionary

 

0

 

2,174

 

0

 

2,174

 

 

Consumer Staples

 

0

 

2,780

 

0

 

2,780

 

 

Energy

 

0

 

418

 

0

 

418

 

 

Financials

 

0

 

2,251

 

0

 

2,251

 

 

Health Care

 

0

 

3,981

 

0

 

3,981

 

 

Industrials

 

114

 

4,813

 

0

 

4,927

 

 

Information Technology

 

0

 

142

 

0

 

142

 

 

Materials

 

0

 

545

 

0

 

545

 

 

Utilities

 

0

 

599

 

0

 

599

 

 

Germany

 

Communication Services

 

276

 

1,973

 

0

 

2,249

 

 

Consumer Discretionary

 

0

 

2,076

 

0

 

2,076

 

 

Consumer Staples

 

0

 

392

 

0

 

392

 

 

Financials

 

0

 

3,258

 

0

 

3,258

 

 

Health Care

 

67

 

1,399

 

0

 

1,466

 

 

Industrials

 

0

 

3,024

 

0

 

3,024

 

 

Information Technology

 

0

 

2,694

 

0

 

2,694

 

 

Materials

 

0

 

1,501

 

0

 

1,501

 

 

Real Estate

 

0

 

997

 

0

 

997

 

 

Utilities

 

0

 

65

 

0

 

65

 

 

Hong Kong

 

Communication Services

 

237

 

142

 

0

 

379

 

 

Consumer Discretionary

 

0

 

312

 

0

 

312

 

 

Consumer Staples

 

0

 

173

 

0

 

173

 

 

Financials

 

177

 

1,035

 

0

 

1,212

 

 

Industrials

 

203

 

707

 

0

 

910

 

 

Information Technology

 

0

 

131

 

0

 

131

 

 

Real Estate

 

286

 

579

 

0

 

865

 

 

Utilities

 

0

 

554

 

0

 

554

 

 

Ireland

 

Consumer Staples

 

0

 

433

 

0

 

433

 

 

Financials

 

0

 

38

 

0

 

38

 

 

Health Care

 

2,191

 

0

 

0

 

2,191

 

 

Industrials

 

1,038

 

931

 

0

 

1,969

 

 

Materials

 

0

 

293

 

0

 

293

 

 

Israel

 

Communication Services

 

0

 

93

 

0

 

93

 

 

Consumer Discretionary

 

68

 

48

 

0

 

116

 

 

Consumer Staples

 

156

 

152

 

0

 

308

 

 

Energy

 

37

 

104

 

0

 

141

 

 

Financials

 

229

 

1,160

 

0

 

1,389

 

 

Health Care

 

146

 

0

 

0

 

146

 

 

Industrials

 

360

 

255

 

0

 

615

 

 

Information Technology

 

823

 

86

 

0

 

909

 

 

Materials

 

0

 

205

 

0

 

205

 

 

Real Estate

 

0

 

483

 

0

 

483

 

 

Italy

 

Communication Services

 

121

 

441

 

0

 

562

 

 

Consumer Discretionary

 

0

 

642

 

0

 

642

 

 

Consumer Staples

 

0

 

35

 

0

 

35

 

 

Energy

 

0

 

593

 

0

 

593

 

 

Financials

 

112

 

5,565

 

0

 

5,677

 

 

Health Care

 

0

 

267

 

0

 

267

 

 

Industrials

 

0

 

1,378

 

0

 

1,378

 

 

Materials

 

0

 

127

 

0

 

127

 

 

Utilities

 

962

 

303

 

0

 

1,265

 

 

Japan

 

Communication Services

 

0

 

7,686

 

0

 

7,686

 

 

Consumer Discretionary

 

0

 

11,903

 

0

 

11,903

 

 

Consumer Staples

 

302

 

7,457

 

0

 

7,759

 

 

Energy

 

0

 

1,548

 

0

 

1,548

 

 

Financials

 

0

 

9,168

 

0

 

9,168

 

 

Health Care

 

0

 

5,427

 

0

 

5,427

 

 

Industrials

 

0

 

13,482

 

0

 

13,482

 

 

Information Technology

 

79

 

7,828

 

0

 

7,907

 

 

Materials

 

0

 

4,255

 

0

 

4,255

 

 

Real Estate

 

0

 

522

 

0

 

522

 

 

Utilities

 

0

 

2,876

 

0

 

2,876

 

 

Luxembourg

 

Communication Services

 

0

 

205

 

0

 

205

 

 

Health Care

 

0

 

81

 

0

 

81

 

 

Materials

 

0

 

617

 

0

 

617

 

 

Real Estate

 

0

 

230

 

0

 

230

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

Netherlands

 

Communication Services

 

0

 

957

 

0

 

957

 

 

Consumer Discretionary

 

0

 

674

 

0

 

674

 

 

Consumer Staples

 

0

 

3,099

 

0

 

3,099

 

 

Energy

 

0

 

201

 

0

 

201

 

 

Financials

 

0

 

3,036

 

0

 

3,036

 

 

Health Care

 

226

 

297

 

0

 

523

 

 

Industrials

 

0

 

1,593

 

0

 

1,593

 

 

Information Technology

 

445

 

1,109

 

0

 

1,554

 

 

Materials

 

0

 

863

 

0

 

863

 

 

New Zealand

 

Communication Services

 

50

 

0

 

0

 

50

 

 

Health Care

 

0

 

125

 

0

 

125

 

 

Industrials

 

83

 

52

 

0

 

135

 

 

Information Technology

 

0

 

93

 

0

 

93

 

 

Utilities

 

75

 

88

 

0

 

163

 

 

Norway

 

Communication Services

 

0

 

455

 

0

 

455

 

 

Consumer Staples

 

0

 

663

 

0

 

663

 

 

Energy

 

52

 

738

 

0

 

790

 

 

Financials

 

163

 

650

 

0

 

813

 

 

Industrials

 

25

 

542

 

0

 

567

 

 

Information Technology

 

145

 

0

 

0

 

145

 

 

Materials

 

0

 

482

 

0

 

482

 

 

Portugal

 

Consumer Staples

 

126

 

0

 

0

 

126

 

 

Energy

 

0

 

127

 

0

 

127

 

 

Financials

 

0

 

49

 

0

 

49

 

 

Utilities

 

577

 

0

 

0

 

577

 

 

Singapore

 

Communication Services

 

837

 

736

 

0

 

1,573

 

 

Consumer Staples

 

133

 

223

 

0

 

356

 

 

Financials

 

0

 

2,803

 

0

 

2,803

 

 

Industrials

 

27

 

878

 

0

 

905

 

 

Information Technology

 

0

 

94

 

0

 

94

 

 

Utilities

 

0

 

231

 

0

 

231

 

 

South Africa

 

Financials

 

38

 

0

 

0

 

38

 

 

Spain

 

Communication Services

 

0

 

1,534

 

0

 

1,534

 

 

Consumer Discretionary

 

0

 

868

 

0

 

868

 

 

Consumer Staples

 

146

 

0

 

0

 

146

 

 

Energy

 

0

 

366

 

0

 

366

 

 

Financials

 

0

 

4,082

 

0

 

4,082

 

 

Health Care

 

80

 

105

 

0

 

185

 

 

Industrials

 

0

 

887

 

0

 

887

 

 

Materials

 

0

 

114

 

0

 

114

 

 

Utilities

 

800

 

3,300

 

0

 

4,100

 

 

Sweden

 

Communication Services

 

1,865

 

0

 

0

 

1,865

 

 

Consumer Discretionary

 

113

 

429

 

0

 

542

 

 

Consumer Staples

 

77

 

788

 

0

 

865

 

 

Financials

 

0

 

814

 

0

 

814

 

 

Health Care

 

0

 

188

 

0

 

188

 

 

Industrials

 

0

 

2,783

 

0

 

2,783

 

 

Information Technology

 

0

 

1,295

 

0

 

1,295

 

 

Materials

 

0

 

310

 

0

 

310

 

 

Switzerland

 

Communication Services

 

0

 

403

 

0

 

403

 

 

Consumer Discretionary

 

806

 

895

 

0

 

1,701

 

 

Consumer Staples

 

0

 

3,012

 

0

 

3,012

 

 

Financials

 

83

 

7,126

 

0

 

7,209

 

 

Health Care

 

57

 

7,889

 

0

 

7,946

 

 

Industrials

 

73

 

4,363

 

0

 

4,436

 

 

Information Technology

 

0

 

356

 

0

 

356

 

 

Materials

 

730

 

1,229

 

0

 

1,959

 

 

Real Estate

 

0

 

701

 

0

 

701

 

 

Utilities

 

0

 

158

 

0

 

158

 

 

United Kingdom

 

Communication Services

 

0

 

2,029

 

0

 

2,029

 

 

Consumer Discretionary

 

125

 

3,523

 

0

 

3,648

 

 

Consumer Staples

 

569

 

12,937

 

0

 

13,506

 

 

Energy

 

0

 

943

 

0

 

943

 

 

Financials

 

0

 

8,910

 

0

 

8,910

 

 

Health Care

 

0

 

4,791

 

0

 

4,791

 

 

Industrials

 

558

 

6,390

 

0

 

6,948

 

 

Information Technology

 

0

 

510

 

0

 

510

 

 

Materials

 

237

 

2,600

 

0

 

2,837

 

 

Utilities

 

161

 

2,108

 

0

 

2,269

 

 

United States

 

Consumer Discretionary

 

0

 

163

 

0

 

163

 

 

Health Care

 

0

 

163

 

0

 

163

 

 

Industrials

 

377

 

0

 

0

 

377

 

Preferred Stocks

 

Germany

 

Industrials

 

0

 

1,305

 

0

 

1,305

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor International Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Real Estate Investment Trusts

 

Australia

 

Real Estate

 

0

 

287

 

0

 

287

 

 

Belgium

 

Real Estate

 

0

 

222

 

0

 

222

 

 

Canada

 

Real Estate

 

30

 

0

 

0

 

30

 

 

France

 

Real Estate

 

146

 

371

 

0

 

517

 

 

Hong Kong

 

Real Estate

 

0

 

215

 

0

 

215

 

 

Japan

 

Real Estate

 

43

 

1,452

 

0

 

1,495

 

 

Luxembourg

 

Real Estate

 

0

 

93

 

0

 

93

 

 

Singapore

 

Real Estate

 

0

 

380

 

0

 

380

 

 

Spain

 

Real Estate

 

0

 

66

 

0

 

66

 

 

United Kingdom

 

Real Estate

 

0

 

92

 

0

 

92

 

Rights

 

United Kingdom

 

Financials

 

0

 

3

 

0

 

3

 

Total Investments

$

42,285

$

267,369

$

0

$

309,654

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.8% ¤

 

 

 

 

COMMON STOCKS 97.9%

 

 

 

 

IRELAND 0.3%

 

 

 

 

HEALTH CARE 0.0%

 

 

 

 

Jazz Pharmaceuticals PLC (a)

 

150

$

19

INFORMATION TECHNOLOGY 0.3%

 

 

 

 

Accenture PLC 'A'

 

1,637

 

511

Total Ireland

 

 

 

530

UNITED KINGDOM 0.6%

 

 

 

 

COMMUNICATION SERVICES 0.0%

 

 

 

 

Liberty Global Ltd. 'C' (a)

 

4,266

 

51

CONSUMER STAPLES 0.0%

 

 

 

 

Nomad Foods Ltd.

 

42

 

1

ENERGY 0.0%

 

 

 

 

TechnipFMC PLC

 

2,197

 

70

FINANCIALS 0.5%

 

 

 

 

Aon PLC 'A'

 

1,229

 

491

Janus Henderson Group PLC

 

1,877

 

68

Willis Towers Watson PLC

 

676

 

228

 

 

 

 

787

INDUSTRIALS 0.0%

 

 

 

 

Pentair PLC

 

553

 

48

MATERIALS 0.1%

 

 

 

 

Amcor PLC

 

8,894

 

86

Total United Kingdom

 

 

 

1,043

UNITED STATES 97.0%

 

 

 

 

COMMUNICATION SERVICES 7.7%

 

 

 

 

Altice USA, Inc. 'A' (a)

 

6,569

 

17

AT&T, Inc.

 

80,388

 

2,273

Charter Communications, Inc. 'A' (a)

 

2,304

 

849

Comcast Corp. 'A'

 

15,695

 

579

EchoStar Corp. 'A' (a)

 

417

 

11

Electronic Arts, Inc.

 

1,498

 

216

Fox Corp. 'A'

 

5,274

 

299

Frontier Communications Parent, Inc. (a)

 

793

 

28

GCI Liberty, Inc. «(a)

 

221

 

0

John Wiley & Sons, Inc. 'A'

 

614

 

27

Liberty Broadband Corp. 'C' (a)

 

829

 

71

Liberty Latin America Ltd. 'C' (a)

 

2,282

 

14

Liberty Media Corp.-Liberty Formula One (a)

 

314

 

28

Lumen Technologies, Inc. (a)

 

22,329

 

88

Meta Platforms, Inc. 'A'

 

6,254

 

3,605

Netflix, Inc. (a)

 

1,255

 

1,170

New York Times Co. 'A'

 

1,236

 

61

News Corp. 'A'

 

2,737

 

75

Nexstar Media Group, Inc.

 

612

 

110

Omnicom Group, Inc.

 

1,190

 

99

Paramount Global 'B'

 

1,447

 

17

ROBLOX Corp. 'A' (a)

 

1,518

 

88

Roku, Inc. (a)

 

253

 

18

Sirius XM Holdings, Inc.

 

739

 

17

T-Mobile U.S., Inc.

 

3,578

 

954

Take-Two Interactive Software, Inc. (a)

 

1,174

 

243

TEGNA, Inc.

 

2,438

 

44

Telephone & Data Systems, Inc.

 

1,456

 

56

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

TKO Group Holdings, Inc.

 

115

 

18

Trade Desk, Inc. (a)

 

1,409

 

77

U.S. Cellular Corp. (a)

 

290

 

20

Verizon Communications, Inc.

 

43,622

 

1,979

Warner Bros Discovery, Inc. (a)

 

8,714

 

94

Yelp, Inc. (a)

 

1,151

 

43

 

 

 

 

13,288

CONSUMER DISCRETIONARY 9.9%

 

 

 

 

Abercrombie & Fitch Co. 'A' (a)

 

2,165

 

165

Academy Sports & Outdoors, Inc.

 

845

 

39

Acushnet Holdings Corp.

 

419

 

29

Adient PLC (a)

 

2,345

 

30

Adtalem Global Education, Inc. (a)

 

857

 

86

Advance Auto Parts, Inc.

 

304

 

12

American Eagle Outfitters, Inc.

 

4,018

 

47

Aramark

 

501

 

17

Asbury Automotive Group, Inc. (a)

 

432

 

95

AutoNation, Inc. (a)

 

736

 

119

AutoZone, Inc. (a)

 

132

 

503

Bath & Body Works, Inc.

 

782

 

24

Best Buy Co., Inc.

 

4,552

 

335

Booking Holdings, Inc.

 

268

 

1,235

BorgWarner, Inc.

 

1,415

 

41

Bright Horizons Family Solutions, Inc. (a)

 

430

 

55

Brunswick Corp.

 

1,347

 

73

Buckle, Inc.

 

1,143

 

44

Burlington Stores, Inc. (a)

 

210

 

50

Carnival Corp. (a)

 

4,097

 

80

Carter's, Inc.

 

1,810

 

74

Coupang, Inc. (a)

 

3,028

 

66

Dana, Inc.

 

3,237

 

43

Darden Restaurants, Inc.

 

416

 

87

Deckers Outdoor Corp. (a)

 

812

 

91

Dick's Sporting Goods, Inc.

 

685

 

138

Dillard's, Inc. 'A'

 

147

 

53

Domino's Pizza, Inc.

 

438

 

201

DoorDash, Inc. 'A' (a)

 

1,090

 

199

Dorman Products, Inc. (a)

 

310

 

37

eBay, Inc.

 

9,321

 

631

Expedia Group, Inc.

 

343

 

58

Foot Locker, Inc. (a)

 

3,138

 

44

Ford Motor Co.

 

30,299

 

304

G-III Apparel Group Ltd. (a)

 

599

 

16

GameStop Corp. 'A' (a)

 

1,193

 

27

Gap, Inc.

 

4,985

 

103

General Motors Co.

 

13,399

 

630

Gentex Corp.

 

2,599

 

61

Goodyear Tire & Rubber Co. (a)

 

3,491

 

32

Graham Holdings Co. 'B'

 

50

 

48

Grand Canyon Education, Inc. (a)

 

418

 

72

Group 1 Automotive, Inc.

 

293

 

112

H&R Block, Inc.

 

2,495

 

137

Hanesbrands, Inc. (a)

 

9,928

 

57

Harley-Davidson, Inc.

 

530

 

13

Hasbro, Inc.

 

314

 

19

Hilton Worldwide Holdings, Inc.

 

590

 

134

Home Depot, Inc.

 

3,197

 

1,172

International Game Technology PLC

 

865

 

14

KB Home

 

270

 

16

Kohl's Corp.

 

1,753

 

14

Kontoor Brands, Inc.

 

1,133

 

73

La-Z-Boy, Inc.

 

747

 

29

Laureate Education, Inc. (a)

 

845

 

17

Lear Corp.

 

229

 

20

Leggett & Platt, Inc.

 

532

 

4

Lithia Motors, Inc.

 

99

 

29

Lowe's Cos., Inc.

 

3,037

 

708

M/I Homes, Inc. (a)

 

323

 

37

Macy's, Inc.

 

2,387

 

30

Marriott International, Inc. 'A'

 

314

 

75

Marriott Vacations Worldwide Corp.

 

203

 

13

McDonald's Corp.

 

3,767

 

1,177

Meritage Homes Corp.

 

804

 

57

Mohawk Industries, Inc. (a)

 

172

 

20

Murphy USA, Inc.

 

433

 

204

Newell Brands, Inc.

 

1,151

 

7

NIKE, Inc. 'B'

 

1,760

 

112

Nordstrom, Inc.

 

2,239

 

55

NVR, Inc. (a)

 

20

 

145

O'Reilly Automotive, Inc. (a)

 

428

 

613

ODP Corp. (a)

 

1,167

 

17

Ollie's Bargain Outlet Holdings, Inc. (a)

 

156

 

18

Penske Automotive Group, Inc.

 

282

 

41

Phinia, Inc.

 

637

 

27

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Pool Corp.

 

383

 

122

PulteGroup, Inc.

 

788

 

81

PVH Corp.

 

454

 

29

Ralph Lauren Corp.

 

295

 

65

Restoration Hardware Holdings, Inc. (a)

 

73

 

17

Royal Caribbean Cruises Ltd.

 

785

 

161

Sally Beauty Holdings, Inc. (a)

 

3,319

 

30

Service Corp. International

 

1,559

 

125

SharkNinja, Inc. (a)

 

172

 

14

Signet Jewelers Ltd.

 

523

 

30

Somnigroup International, Inc.

 

1,221

 

73

Sonic Automotive, Inc. 'A'

 

471

 

27

Starbucks Corp.

 

4,929

 

484

Steven Madden Ltd.

 

461

 

12

Strategic Education, Inc.

 

253

 

21

Stride, Inc. (a)

 

141

 

18

Tapestry, Inc.

 

1,642

 

116

Taylor Morrison Home Corp. (a)

 

1,914

 

115

Tesla, Inc. (a)

 

7,191

 

1,864

Texas Roadhouse, Inc.

 

511

 

85

Thor Industries, Inc.

 

178

 

14

TJX Cos., Inc.

 

5,684

 

692

Toll Brothers, Inc.

 

470

 

50

Tractor Supply Co.

 

3,952

 

218

Tri Pointe Homes, Inc. (a)

 

982

 

31

Ulta Beauty, Inc. (a)

 

194

 

71

Upbound Group, Inc.

 

595

 

14

Urban Outfitters, Inc. (a)

 

1,453

 

76

Vail Resorts, Inc.

 

537

 

86

Valvoline, Inc. (a)

 

927

 

32

VF Corp.

 

4,301

 

67

Victoria's Secret & Co. (a)

 

1,238

 

23

Visteon Corp. (a)

 

584

 

45

Wendy's Co.

 

4,520

 

66

Whirlpool Corp.

 

503

 

45

Williams-Sonoma, Inc.

 

1,773

 

280

Winnebago Industries, Inc.

 

322

 

11

Wyndham Hotels & Resorts, Inc.

 

768

 

70

Yum! Brands, Inc.

 

1,942

 

306

 

 

 

 

16,996

CONSUMER STAPLES 13.3%

 

 

 

 

Albertsons Cos., Inc. 'A'

 

2,506

 

55

Altria Group, Inc.

 

16,639

 

999

Andersons, Inc.

 

725

 

31

Archer-Daniels-Midland Co.

 

7,916

 

380

BJ's Wholesale Club Holdings, Inc. (a)

 

783

 

89

Boston Beer Co., Inc. 'A' (a)

 

133

 

32

Brown-Forman Corp. 'B'

 

2,425

 

82

Bunge Global SA

 

771

 

59

Cal-Maine Foods, Inc.

 

1,475

 

134

Campbell's Co.

 

1,385

 

55

Casey's General Stores, Inc.

 

576

 

250

Central Garden & Pet Co. 'A' (a)

 

652

 

21

Church & Dwight Co., Inc.

 

1,238

 

136

Clorox Co.

 

1,304

 

192

Coca-Cola Co.

 

21,011

 

1,505

Coca-Cola Consolidated, Inc.

 

40

 

54

Colgate-Palmolive Co.

 

5,388

 

505

Conagra Brands, Inc.

 

2,787

 

74

Constellation Brands, Inc. 'A'

 

447

 

82

Costco Wholesale Corp.

 

2,889

 

2,732

Dollar General Corp.

 

1,716

 

151

Dollar Tree, Inc. (a)

 

759

 

57

Edgewell Personal Care Co.

 

1,102

 

34

Flowers Foods, Inc.

 

2,163

 

41

General Mills, Inc.

 

4,736

 

283

Hershey Co.

 

588

 

101

Hormel Foods Corp.

 

1,217

 

38

Ingles Markets, Inc. 'A'

 

261

 

17

Ingredion, Inc.

 

909

 

123

J M Smucker Co.

 

722

 

85

Kellanova

 

3,864

 

319

Kenvue, Inc.

 

4,825

 

116

Keurig Dr. Pepper, Inc.

 

5,232

 

179

Kimberly-Clark Corp.

 

3,228

 

459

Kraft Heinz Co.

 

9,805

 

298

Kroger Co.

 

11,684

 

791

Lamb Weston Holdings, Inc.

 

763

 

41

Lancaster Colony Corp.

 

382

 

67

Maplebear, Inc. (a)

 

434

 

17

McCormick & Co., Inc.

 

449

 

37

Molson Coors Beverage Co. 'B'

 

2,722

 

166

Mondelez International, Inc. 'A'

 

6,776

 

460

Monster Beverage Corp. (a)

 

2,613

 

153

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

PepsiCo, Inc.

 

9,754

 

1,462

Performance Food Group Co. (a)

 

212

 

17

Philip Morris International, Inc.

 

12,920

 

2,051

Pilgrim's Pride Corp.

 

455

 

25

Post Holdings, Inc. (a)

 

904

 

105

PriceSmart, Inc.

 

317

 

28

Procter & Gamble Co.

 

12,146

 

2,070

Spectrum Brands Holdings, Inc.

 

242

 

17

Sprouts Farmers Market, Inc. (a)

 

2,408

 

368

Sysco Corp.

 

1,956

 

147

Target Corp.

 

9,620

 

1,004

TreeHouse Foods, Inc. (a)

 

1,210

 

33

Tyson Foods, Inc. 'A'

 

5,441

 

347

U.S. Foods Holding Corp. (a)

 

1,564

 

102

United Natural Foods, Inc. (a)

 

661

 

18

Walgreens Boots Alliance, Inc.

 

26,657

 

298

Walmart, Inc.

 

36,281

 

3,185

 

 

 

 

22,777

ENERGY 3.0%

 

 

 

 

Antero Midstream Corp.

 

973

 

17

Antero Resources Corp. (a)

 

878

 

35

Archrock, Inc.

 

2,924

 

77

Baker Hughes Co.

 

5,407

 

238

Cheniere Energy, Inc.

 

622

 

144

Chevron Corp.

 

5,309

 

888

CNX Resources Corp. (a)

 

3,619

 

114

ConocoPhillips

 

1,238

 

130

CVR Energy, Inc.

 

1,018

 

20

Delek U.S. Holdings, Inc.

 

1,850

 

28

DTE Midstream, Inc.

 

472

 

46

EQT Corp.

 

1,179

 

63

Expand Energy Corp.

 

800

 

89

Exxon Mobil Corp.

 

7,824

 

930

Helmerich & Payne, Inc.

 

1,028

 

27

HF Sinclair Corp.

 

432

 

14

Kinder Morgan, Inc.

 

7,146

 

204

Marathon Petroleum Corp.

 

3,239

 

472

Murphy Oil Corp.

 

810

 

23

ONEOK, Inc.

 

1,750

 

174

Ovintiv, Inc.

 

409

 

17

Patterson-UTI Energy, Inc.

 

3,506

 

29

PBF Energy, Inc. 'A'

 

1,396

 

27

Peabody Energy Corp.

 

2,693

 

36

Permian Resources Corp.

 

1,220

 

17

Phillips 66

 

2,867

 

354

Schlumberger NV

 

655

 

27

SM Energy Co.

 

921

 

28

Targa Resources Corp.

 

1,208

 

242

Texas Pacific Land Corp.

 

57

 

75

Valero Energy Corp.

 

2,763

 

365

Williams Cos., Inc.

 

3,561

 

213

World Kinect Corp.

 

1,324

 

38

 

 

 

 

5,201

FINANCIALS 16.8%

 

 

 

 

Affiliated Managers Group, Inc.

 

506

 

85

Aflac, Inc.

 

4,096

 

455

Allstate Corp.

 

1,751

 

363

Ally Financial, Inc.

 

2,067

 

75

American Express Co.

 

1,323

 

356

American International Group, Inc.

 

5,542

 

482

Ameriprise Financial, Inc.

 

624

 

302

Ares Management Corp. 'A'

 

915

 

134

Arthur J Gallagher & Co.

 

427

 

147

Artisan Partners Asset Management, Inc. 'A'

 

1,125

 

44

Assurant, Inc.

 

696

 

146

Bank of America Corp.

 

17,818

 

744

Bank of New York Mellon Corp.

 

4,071

 

341

BankUnited, Inc.

 

1,546

 

53

Berkshire Hathaway, Inc. 'B' (a)

 

9,870

 

5,257

Blackrock, Inc.

 

351

 

332

Blackstone, Inc.

 

2,991

 

418

Bread Financial Holdings, Inc.

 

1,216

 

61

Brighthouse Financial, Inc. (a)

 

817

 

47

Brown & Brown, Inc.

 

1,787

 

222

Cadence Bank

 

726

 

22

Capital One Financial Corp.

 

3,181

 

570

Charles Schwab Corp.

 

5,927

 

464

Cincinnati Financial Corp.

 

293

 

43

Citigroup, Inc.

 

17,674

 

1,255

Citizens Financial Group, Inc.

 

1,621

 

66

CME Group, Inc.

 

1,124

 

298

CNO Financial Group, Inc.

 

933

 

39

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Cohen & Steers, Inc.

 

197

 

16

Columbia Banking System, Inc.

 

667

 

17

Comerica, Inc.

 

940

 

56

Commerce Bancshares, Inc.

 

392

 

24

Corebridge Financial, Inc.

 

3,571

 

113

Corpay, Inc. (a)

 

179

 

62

Credit Acceptance Corp. (a)

 

34

 

18

Cullen/Frost Bankers, Inc.

 

169

 

21

DigitalBridge Group, Inc.

 

3,246

 

29

Discover Financial Services

 

1,280

 

218

East West Bancorp, Inc.

 

403

 

36

Eastern Bankshares, Inc.

 

1,037

 

17

Equitable Holdings, Inc.

 

3,470

 

181

Erie Indemnity Co. 'A'

 

295

 

124

Evercore, Inc. 'A'

 

708

 

141

FactSet Research Systems, Inc.

 

86

 

39

Federated Hermes, Inc.

 

1,330

 

54

Fidelity National Financial, Inc.

 

882

 

57

Fifth Third Bancorp

 

1,802

 

71

First American Financial Corp.

 

440

 

29

First Horizon Corp.

 

1,380

 

27

FirstCash Holdings, Inc.

 

171

 

21

Fiserv, Inc. (a)

 

1,448

 

320

Flagstar Financial, Inc.

 

3,721

 

43

FNB Corp.

 

1,254

 

17

Franklin Resources, Inc.

 

1,541

 

30

Genworth Financial, Inc. (a)

 

6,804

 

48

Glacier Bancorp, Inc.

 

358

 

16

Goldman Sachs Group, Inc.

 

1,268

 

693

Hanover Insurance Group, Inc.

 

564

 

98

Hilltop Holdings, Inc.

 

579

 

18

Houlihan Lokey, Inc.

 

784

 

127

Huntington Bancshares, Inc.

 

3,732

 

56

Interactive Brokers Group, Inc. 'A'

 

550

 

91

Intercontinental Exchange, Inc.

 

3,622

 

625

Invesco Ltd.

 

2,360

 

36

Jack Henry & Associates, Inc.

 

1,172

 

214

Jackson Financial, Inc. 'A'

 

1,116

 

94

Jefferies Financial Group, Inc.

 

976

 

52

JPMorgan Chase & Co.

 

7,320

 

1,796

Kemper Corp.

 

722

 

48

KeyCorp

 

2,716

 

43

KKR & Co., Inc.

 

1,706

 

197

Lincoln National Corp.

 

1,139

 

41

Loews Corp.

 

521

 

48

LPL Financial Holdings, Inc.

 

515

 

168

M&T Bank Corp.

 

351

 

63

MarketAxess Holdings, Inc.

 

165

 

36

Marsh & McLennan Cos., Inc.

 

1,764

 

430

Mastercard, Inc. 'A'

 

842

 

462

Mercury General Corp.

 

613

 

34

MetLife, Inc.

 

7,730

 

621

MGIC Investment Corp.

 

772

 

19

Moelis & Co. 'A'

 

866

 

51

Moody's Corp.

 

125

 

58

Morgan Stanley

 

3,336

 

389

Morningstar, Inc.

 

197

 

59

Mr. Cooper Group, Inc. (a)

 

857

 

103

MSCI, Inc.

 

186

 

105

Nasdaq, Inc.

 

1,223

 

93

Navient Corp.

 

1,220

 

15

Northern Trust Corp.

 

537

 

53

OneMain Holdings, Inc.

 

1,028

 

50

PayPal Holdings, Inc. (a)

 

2,591

 

169

PennyMac Financial Services, Inc.

 

392

 

39

Piper Sandler Cos.

 

67

 

17

PNC Financial Services Group, Inc.

 

1,113

 

196

PROG Holdings, Inc.

 

600

 

16

Progressive Corp.

 

4,517

 

1,278

Prosperity Bancshares, Inc.

 

260

 

19

Prudential Financial, Inc.

 

3,907

 

436

Raymond James Financial, Inc.

 

450

 

63

Regions Financial Corp.

 

1,268

 

28

RLI Corp.

 

722

 

58

Robinhood Markets, Inc. 'A' (a)

 

2,208

 

92

S&P Global, Inc.

 

130

 

66

SEI Investments Co.

 

1,262

 

98

Selective Insurance Group, Inc.

 

223

 

20

SLM Corp.

 

4,261

 

125

SoFi Technologies, Inc. (a)

 

2,446

 

28

SouthState Corp.

 

189

 

18

State Street Corp.

 

539

 

48

Stewart Information Services Corp.

 

678

 

48

Stifel Financial Corp.

 

279

 

26

Synchrony Financial

 

8,028

 

425

Synovus Financial Corp.

 

624

 

29

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

T. Rowe Price Group, Inc.

 

1,636

 

150

Toast, Inc. 'A' (a)

 

983

 

33

Tradeweb Markets, Inc. 'A'

 

854

 

127

Travelers Cos., Inc.

 

840

 

222

Truist Financial Corp.

 

3,642

 

150

U.S. Bancorp

 

4,199

 

177

UMB Financial Corp.

 

166

 

17

Unum Group

 

2,039

 

166

Virtu Financial, Inc. 'A'

 

1,803

 

69

Visa, Inc. 'A'

 

2,156

 

756

WaFd, Inc.

 

604

 

17

Webster Financial Corp.

 

550

 

28

Wells Fargo & Co.

 

22,220

 

1,595

Western Alliance Bancorp

 

367

 

28

Western Union Co.

 

8,853

 

94

White Mountains Insurance Group Ltd.

 

41

 

79

Wintrust Financial Corp.

 

213

 

24

Zions Bancorp NA

 

579

 

29

 

 

 

 

28,855

HEALTH CARE 15.3%

 

 

 

 

AbbVie, Inc.

 

13,216

 

2,769

Alnylam Pharmaceuticals, Inc. (a)

 

495

 

134

Amedisys, Inc. (a)

 

219

 

20

Amgen, Inc.

 

6,192

 

1,929

Baxter International, Inc.

 

2,506

 

86

Becton Dickinson & Co.

 

1,062

 

243

Bio-Rad Laboratories, Inc. 'A' (a)

 

57

 

14

Biogen, Inc. (a)

 

780

 

107

BioMarin Pharmaceutical, Inc. (a)

 

419

 

30

Boston Scientific Corp. (a)

 

4,792

 

483

Bristol-Myers Squibb Co.

 

23,483

 

1,432

Bruker Corp.

 

595

 

25

Cardinal Health, Inc.

 

2,419

 

333

Cencora, Inc.

 

946

 

263

Chemed Corp.

 

205

 

126

Cigna Group

 

483

 

159

Cooper Cos., Inc.

 

947

 

80

Corcept Therapeutics, Inc. (a)

 

294

 

34

CVS Health Corp.

 

24,850

 

1,684

DaVita, Inc. (a)

 

1,650

 

252

Dentsply Sirona, Inc.

 

2,062

 

31

Elevance Health, Inc.

 

186

 

81

Eli Lilly & Co.

 

3,331

 

2,751

Encompass Health Corp.

 

1,314

 

133

Exelixis, Inc. (a)

 

2,748

 

101

GE HealthCare Technologies, Inc.

 

1,280

 

103

Gilead Sciences, Inc.

 

17,831

 

1,998

Globus Medical, Inc. 'A' (a)

 

617

 

45

Haemonetics Corp. (a)

 

577

 

37

Halozyme Therapeutics, Inc. (a)

 

355

 

23

HCA Healthcare, Inc.

 

996

 

344

Henry Schein, Inc. (a)

 

921

 

63

Hologic, Inc. (a)

 

1,051

 

65

ICU Medical, Inc. (a)

 

157

 

22

IDEXX Laboratories, Inc. (a)

 

183

 

77

Incyte Corp. (a)

 

1,154

 

70

Intuitive Surgical, Inc. (a)

 

908

 

450

Johnson & Johnson

 

16,601

 

2,753

Masimo Corp. (a)

 

412

 

69

McKesson Corp.

 

1,263

 

850

Merck & Co., Inc.

 

17,773

 

1,595

Merit Medical Systems, Inc. (a)

 

169

 

18

Mettler-Toledo International, Inc. (a)

 

132

 

156

Neurocrine Biosciences, Inc. (a)

 

283

 

31

Organon & Co.

 

5,252

 

78

Patterson Cos., Inc.

 

2,201

 

69

Pfizer, Inc.

 

65,166

 

1,651

Premier, Inc. 'A'

 

1,411

 

27

Quest Diagnostics, Inc.

 

1,075

 

182

Regeneron Pharmaceuticals, Inc.

 

630

 

400

ResMed, Inc.

 

1,256

 

281

Revvity, Inc.

 

854

 

90

Royalty Pharma PLC 'A'

 

1,465

 

46

Sarepta Therapeutics, Inc. (a)

 

348

 

22

Select Medical Holdings Corp.

 

1,911

 

32

Teleflex, Inc.

 

253

 

35

Tenet Healthcare Corp. (a)

 

2,200

 

296

United Therapeutics Corp. (a)

 

605

 

186

Universal Health Services, Inc. 'B'

 

423

 

79

Vertex Pharmaceuticals, Inc. (a)

 

511

 

248

Viatris, Inc.

 

22,422

 

195

Waters Corp. (a)

 

213

 

78

West Pharmaceutical Services, Inc.

 

172

 

39

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Zoetis, Inc.

 

568

 

94

 

 

 

 

26,197

INDUSTRIALS 10.9%

 

 

 

 

3M Co.

 

9,614

 

1,412

A.O. Smith Corp.

 

1,877

 

123

AAR Corp. (a)

 

677

 

38

ABM Industries, Inc.

 

963

 

46

Acuity, Inc.

 

473

 

125

Advanced Drainage Systems, Inc.

 

293

 

32

AECOM

 

638

 

59

AGCO Corp.

 

428

 

40

Alaska Air Group, Inc. (a)

 

282

 

14

Allison Transmission Holdings, Inc.

 

1,090

 

104

Apogee Enterprises, Inc.

 

506

 

23

Applied Industrial Technologies, Inc.

 

73

 

16

Arcosa, Inc.

 

492

 

38

Armstrong World Industries, Inc.

 

464

 

65

Automatic Data Processing, Inc.

 

1,847

 

564

Avis Budget Group, Inc. (a)

 

282

 

21

Axon Enterprise, Inc. (a)

 

167

 

88

Boise Cascade Co.

 

560

 

55

Booz Allen Hamilton Holding Corp.

 

1,574

 

165

Brady Corp. 'A'

 

299

 

21

Broadridge Financial Solutions, Inc.

 

934

 

226

Builders FirstSource, Inc. (a)

 

564

 

70

BWX Technologies, Inc.

 

1,328

 

131

CACI International, Inc. 'A' (a)

 

366

 

134

Carrier Global Corp.

 

2,936

 

186

Caterpillar, Inc.

 

1,184

 

390

CH Robinson Worldwide, Inc.

 

2,428

 

249

Cintas Corp.

 

1,573

 

323

Clean Harbors, Inc. (a)

 

294

 

58

Comfort Systems USA, Inc.

 

155

 

50

Copart, Inc. (a)

 

2,236

 

127

CoreCivic, Inc. (a)

 

2,497

 

51

Crane Co.

 

155

 

24

CSG Systems International, Inc.

 

502

 

30

CSX Corp.

 

7,255

 

214

Cummins, Inc.

 

676

 

212

Curtiss-Wright Corp.

 

468

 

148

Delta Air Lines, Inc.

 

367

 

16

DNOW, Inc. (a)

 

1,602

 

27

Donaldson Co., Inc.

 

455

 

31

Dover Corp.

 

436

 

77

Dun & Bradstreet Holdings, Inc.

 

1,459

 

13

Dycom Industries, Inc. (a)

 

121

 

18

EMCOR Group, Inc.

 

171

 

63

Emerson Electric Co.

 

1,557

 

171

Equifax, Inc.

 

423

 

103

Esab Corp.

 

208

 

24

ExlService Holdings, Inc. (a)

 

367

 

17

Expeditors International of Washington, Inc.

 

1,731

 

208

Fastenal Co.

 

1,273

 

99

Flowserve Corp.

 

310

 

15

Fluor Corp. (a)

 

475

 

17

Franklin Electric Co., Inc.

 

223

 

21

FTAI Aviation Ltd.

 

195

 

22

FTI Consulting, Inc. (a)

 

316

 

52

Gates Industrial Corp. PLC (a)

 

877

 

16

GATX Corp.

 

445

 

69

GE Vernova, Inc.

 

684

 

209

Generac Holdings, Inc. (a)

 

612

 

77

General Dynamics Corp.

 

1,339

 

365

General Electric Co.

 

5,232

 

1,047

Genpact Ltd.

 

2,404

 

121

GEO Group, Inc. (a)

 

4,650

 

136

GMS, Inc. (a)

 

472

 

35

Graco, Inc.

 

715

 

60

Granite Construction, Inc.

 

1,058

 

80

Greenbrier Cos., Inc.

 

939

 

48

HEICO Corp.

 

299

 

80

Herc Holdings, Inc.

 

98

 

13

Hexcel Corp.

 

822

 

45

HNI Corp.

 

659

 

29

Howmet Aerospace, Inc.

 

3,164

 

410

Hub Group, Inc. 'A'

 

744

 

28

Hubbell, Inc.

 

78

 

26

Huntington Ingalls Industries, Inc.

 

233

 

48

IDEX Corp.

 

752

 

136

Illinois Tool Works, Inc.

 

815

 

202

Insperity, Inc.

 

192

 

17

ITT, Inc.

 

840

 

108

JB Hunt Transport Services, Inc.

 

259

 

38

JetBlue Airways Corp. (a)

 

8,972

 

43

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Johnson Controls International PLC

 

1,563

 

125

KBR, Inc.

 

316

 

16

Kennametal, Inc.

 

801

 

17

Kirby Corp. (a)

 

237

 

24

Knight-Swift Transportation Holdings, Inc.

 

575

 

25

L3Harris Technologies, Inc.

 

1,584

 

332

Landstar System, Inc.

 

685

 

103

Leidos Holdings, Inc.

 

1,134

 

153

Lennox International, Inc.

 

503

 

282

Lincoln Electric Holdings, Inc.

 

448

 

85

Lockheed Martin Corp.

 

3,147

 

1,406

ManpowerGroup, Inc.

 

569

 

33

Masco Corp.

 

761

 

53

MasTec, Inc. (a)

 

137

 

16

Masterbrand, Inc. (a)

 

1,550

 

20

Matson, Inc.

 

400

 

51

Maximus, Inc.

 

1,048

 

71

MillerKnoll, Inc.

 

709

 

14

Moog, Inc. 'A'

 

431

 

75

MSA Safety, Inc.

 

279

 

41

MSC Industrial Direct Co., Inc. 'A'

 

1,058

 

82

Mueller Industries, Inc.

 

1,588

 

121

Nordson Corp.

 

241

 

49

Northrop Grumman Corp.

 

1,005

 

515

Old Dominion Freight Line, Inc.

 

158

 

26

Oshkosh Corp.

 

190

 

18

Otis Worldwide Corp.

 

1,625

 

168

Owens Corning

 

214

 

31

Parker-Hannifin Corp.

 

342

 

208

Parsons Corp. (a)

 

427

 

25

Paychex, Inc.

 

633

 

98

Paycom Software, Inc.

 

119

 

26

Primoris Services Corp.

 

1,144

 

66

Quanta Services, Inc.

 

338

 

86

RBC Bearings, Inc. (a)

 

51

 

16

Republic Services, Inc.

 

1,229

 

298

Resideo Technologies, Inc. (a)

 

483

 

9

Robert Half, Inc.

 

539

 

29

Rollins, Inc.

 

2,145

 

116

RTX Corp.

 

3,409

 

452

Rush Enterprises, Inc. 'A'

 

1,019

 

54

Schneider National, Inc. 'B'

 

1,229

 

28

Science Applications International Corp.

 

171

 

19

SkyWest, Inc. (a)

 

815

 

71

Snap-on, Inc.

 

51

 

17

SS&C Technologies Holdings, Inc.

 

421

 

35

Terex Corp.

 

1,194

 

45

Timken Co.

 

620

 

45

Toro Co.

 

1,496

 

109

TransUnion

 

402

 

33

TriNet Group, Inc.

 

285

 

23

Trinity Industries, Inc.

 

742

 

21

U-Haul Holding Co. (a)

 

204

 

13

U-Haul Holding Co.

 

455

 

27

UFP Industries, Inc.

 

515

 

55

UniFirst Corp.

 

266

 

46

Union Pacific Corp.

 

2,671

 

631

United Airlines Holdings, Inc. (a)

 

348

 

24

United Parcel Service, Inc. 'B'

 

4,069

 

448

Valmont Industries, Inc.

 

59

 

17

Veralto Corp.

 

809

 

79

Verisk Analytics, Inc.

 

952

 

283

Waste Management, Inc.

 

1,367

 

316

Watsco, Inc.

 

432

 

220

Werner Enterprises, Inc.

 

1,261

 

37

Westinghouse Air Brake Technologies Corp.

 

366

 

66

Woodward, Inc.

 

154

 

28

Worthington Enterprises, Inc.

 

445

 

22

WW Grainger, Inc.

 

272

 

269

XPO, Inc. (a)

 

469

 

50

 

 

 

 

18,664

INFORMATION TECHNOLOGY 15.2%

 

 

 

 

ACI Worldwide, Inc. (a)

 

339

 

19

Adobe, Inc. (a)

 

185

 

71

Akamai Technologies, Inc. (a)

 

538

 

43

Amdocs Ltd.

 

760

 

70

Amkor Technology, Inc.

 

1,219

 

22

Amphenol Corp. 'A'

 

3,000

 

197

Ansys, Inc. (a)

 

299

 

95

Apple, Inc.

 

19,190

 

4,263

Applied Materials, Inc.

 

3,323

 

482

AppLovin Corp. 'A' (a)

 

755

 

200

Arista Networks, Inc. (a)

 

2,562

 

198

Arrow Electronics, Inc. (a)

 

661

 

69

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Aurora Innovation, Inc. (a)

 

2,304

 

15

Avnet, Inc.

 

1,311

 

63

Belden, Inc.

 

613

 

61

Benchmark Electronics, Inc.

 

679

 

26

Broadcom, Inc.

 

17,264

 

2,891

CDW Corp.

 

177

 

28

Ciena Corp. (a)

 

294

 

18

Cirrus Logic, Inc. (a)

 

647

 

64

Cisco Systems, Inc.

 

33,981

 

2,097

Coherent Corp. (a)

 

621

 

40

CommVault Systems, Inc. (a)

 

461

 

73

Corning, Inc.

 

8,199

 

375

Dell Technologies, Inc. 'C'

 

753

 

69

Docusign, Inc. (a)

 

390

 

32

Dolby Laboratories, Inc. 'A'

 

558

 

45

Dropbox, Inc. 'A' (a)

 

646

 

17

DXC Technology Co. (a)

 

1,155

 

20

F5, Inc. (a)

 

579

 

154

Fair Isaac Corp. (a)

 

165

 

304

Fortinet, Inc. (a)

 

1,944

 

187

Gartner, Inc. (a)

 

217

 

91

Gen Digital, Inc.

 

5,914

 

157

GoDaddy, Inc. 'A' (a)

 

1,115

 

201

Guidewire Software, Inc. (a)

 

218

 

41

Hewlett Packard Enterprise Co.

 

12,790

 

197

HP, Inc.

 

14,142

 

392

Insight Enterprises, Inc. (a)

 

605

 

91

Intel Corp.

 

16,398

 

372

InterDigital, Inc.

 

130

 

27

International Business Machines Corp.

 

9,697

 

2,411

Jabil, Inc.

 

468

 

64

Juniper Networks, Inc.

 

5,881

 

213

KLA Corp.

 

280

 

190

Knowles Corp. (a)

 

1,327

 

20

Kyndryl Holdings, Inc. (a)

 

3,531

 

111

Lam Research Corp.

 

4,622

 

336

Lumentum Holdings, Inc. (a)

 

252

 

16

Manhattan Associates, Inc. (a)

 

181

 

31

Marvell Technology, Inc.

 

2,267

 

140

MicroStrategy, Inc. 'A' (a)

 

688

 

198

Motorola Solutions, Inc.

 

824

 

361

NetApp, Inc.

 

1,146

 

101

NetScout Systems, Inc. (a)

 

1,166

 

24

NVIDIA Corp.

 

18,505

 

2,006

Oracle Corp.

 

19,531

 

2,731

OSI Systems, Inc. (a)

 

247

 

48

Palantir Technologies, Inc. 'A' (a)

 

4,057

 

342

Plexus Corp. (a)

 

372

 

48

Pure Storage, Inc. 'A' (a)

 

849

 

38

Qorvo, Inc. (a)

 

175

 

13

QUALCOMM, Inc.

 

4,712

 

724

Roper Technologies, Inc.

 

223

 

131

Sandisk Corp. (a)

 

946

 

45

Sanmina Corp. (a)

 

998

 

76

Seagate Technology Holdings PLC

 

1,470

 

125

Super Micro Computer, Inc. (a)

 

2,030

 

69

Teradata Corp. (a)

 

997

 

22

Teradyne, Inc.

 

535

 

44

Texas Instruments, Inc.

 

5,826

 

1,047

Trimble, Inc. (a)

 

467

 

31

TTM Technologies, Inc. (a)

 

1,292

 

26

Twilio, Inc. 'A' (a)

 

225

 

22

Tyler Technologies, Inc. (a)

 

262

 

152

VeriSign, Inc. (a)

 

430

 

109

Vishay Intertechnology, Inc.

 

1,930

 

31

Vontier Corp.

 

747

 

25

Western Digital Corp. (a)

 

1,369

 

55

Wolfspeed, Inc. (a)

 

443

 

1

Xerox Holdings Corp.

 

2,266

 

11

Zebra Technologies Corp. 'A' (a)

 

215

 

61

Zoom Communications, Inc. (a)

 

435

 

32

 

 

 

 

26,158

MATERIALS 2.6%

 

 

 

 

Air Products & Chemicals, Inc.

 

481

 

142

Alcoa Corp.

 

1,061

 

32

AptarGroup, Inc.

 

804

 

119

ATI, Inc. (a)

 

1,247

 

65

Avery Dennison Corp.

 

573

 

102

Ball Corp.

 

1,519

 

79

Berry Global Group, Inc.

 

1,477

 

103

Cabot Corp.

 

711

 

59

Carpenter Technology Corp.

 

997

 

181

Celanese Corp.

 

615

 

35

Chemours Co.

 

681

 

9

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Cleveland-Cliffs, Inc. (a)

 

1,599

 

13

Commercial Metals Co.

 

1,962

 

90

Corteva, Inc.

 

2,661

 

167

CRH PLC

 

1,637

 

144

Crown Holdings, Inc.

 

1,283

 

115

Dow, Inc.

 

781

 

27

DuPont de Nemours, Inc.

 

2,194

 

164

Eagle Materials, Inc.

 

373

 

83

Eastman Chemical Co.

 

747

 

66

Ecolab, Inc.

 

643

 

163

Element Solutions, Inc.

 

721

 

16

Graphic Packaging Holding Co.

 

3,622

 

94

Greif, Inc. 'A'

 

715

 

39

Huntsman Corp.

 

413

 

7

Innospec, Inc.

 

244

 

23

International Flavors & Fragrances, Inc.

 

663

 

51

International Paper Co.

 

3,468

 

185

Knife River Corp. (a)

 

184

 

17

Louisiana-Pacific Corp.

 

1,045

 

96

LyondellBasell Industries NV 'A'

 

3,835

 

270

Mosaic Co.

 

1,826

 

49

NewMarket Corp.

 

87

 

49

Newmont Corp.

 

7,176

 

347

Nucor Corp.

 

1,088

 

131

O-I Glass, Inc. (a)

 

2,922

 

34

Packaging Corp. of America

 

834

 

165

Pactiv Evergreen, Inc.

 

962

 

17

PPG Industries, Inc.

 

699

 

76

Reliance, Inc.

 

279

 

81

Royal Gold, Inc.

 

402

 

66

RPM International, Inc.

 

1,220

 

141

Scotts Miracle-Gro Co.

 

650

 

36

Sealed Air Corp.

 

1,974

 

57

Sensient Technologies Corp.

 

534

 

40

Sherwin-Williams Co.

 

367

 

128

Silgan Holdings, Inc.

 

945

 

48

Sonoco Products Co.

 

1,379

 

65

Southern Copper Corp.

 

1

 

0

Steel Dynamics, Inc.

 

143

 

18

Sylvamo Corp.

 

612

 

41

Tronox Holdings PLC

 

1,072

 

8

U.S. Steel Corp.

 

1,712

 

72

Warrior Met Coal, Inc.

 

1,288

 

62

 

 

 

 

4,487

REAL ESTATE 0.1%

 

 

 

 

CBRE Group, Inc. 'A' (a)

 

728

 

95

Jones Lang LaSalle, Inc. (a)

 

427

 

106

Zillow Group, Inc. 'C' (a)

 

500

 

34

 

 

 

 

235

UTILITIES 2.2%

 

 

 

 

AES Corp.

 

1,659

 

21

Alliant Energy Corp.

 

652

 

42

Ameren Corp.

 

653

 

66

American Electric Power Co., Inc.

 

1,635

 

179

Atmos Energy Corp.

 

229

 

35

Avista Corp.

 

1,632

 

68

Clearway Energy, Inc. 'C'

 

974

 

29

CMS Energy Corp.

 

910

 

68

Constellation Energy Corp.

 

834

 

168

Dominion Energy, Inc.

 

2,439

 

137

Duke Energy Corp.

 

1,984

 

242

Entergy Corp.

 

1,251

 

107

Evergy, Inc.

 

500

 

34

Eversource Energy

 

1,082

 

67

Exelon Corp.

 

4,641

 

214

FirstEnergy Corp.

 

1,533

 

62

Hawaiian Electric Industries, Inc. (a)

 

2,798

 

31

IDACORP, Inc.

 

147

 

17

MDU Resources Group, Inc.

 

3,994

 

67

National Fuel Gas Co.

 

1,469

 

116

NextEra Energy, Inc.

 

5,556

 

394

NiSource, Inc.

 

1,190

 

48

NRG Energy, Inc.

 

1,560

 

149

OGE Energy Corp.

 

441

 

20

Ormat Technologies, Inc.

 

605

 

43

Pinnacle West Capital Corp.

 

216

 

21

PPL Corp.

 

2,127

 

77

Public Service Enterprise Group, Inc.

 

1,345

 

111

Sempra

 

1,761

 

126

Southern Co.

 

2,863

 

263

Southwest Gas Holdings, Inc.

 

264

 

19

Spire, Inc.

 

290

 

23

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

Talen Energy Corp. (a)

 

155

 

31

TXNM Energy, Inc.

 

1,098

 

59

UGI Corp.

 

792

 

26

Vistra Corp.

 

3,484

 

409

WEC Energy Group, Inc.

 

763

 

83

Xcel Energy, Inc.

 

1,375

 

97

 

 

 

 

3,769

Total United States

 

 

 

166,627

Total Common Stocks (Cost $146,333)

 

 

 

168,200

REAL ESTATE INVESTMENT TRUSTS 1.9%

 

 

 

 

UNITED STATES 1.9%

 

 

 

 

REAL ESTATE 1.9%

 

 

 

 

AGNC Investment Corp.

 

7,701

 

74

Agree Realty Corp.

 

596

 

46

American Homes 4 Rent 'A'

 

1,912

 

72

Americold Realty Trust, Inc.

 

2,555

 

55

Annaly Capital Management, Inc.

 

1,183

 

24

Apollo Commercial Real Estate Finance, Inc.

 

1,935

 

18

Apple Hospitality REIT, Inc.

 

2,540

 

33

AvalonBay Communities, Inc.

 

265

 

57

BXP, Inc.

 

432

 

29

Camden Property Trust

 

950

 

116

COPT Defense Properties

 

1,461

 

40

CubeSmart

 

1,663

 

71

DiamondRock Hospitality Co.

 

5,562

 

43

Digital Realty Trust, Inc.

 

877

 

126

Douglas Emmett, Inc.

 

1,560

 

25

Equity LifeStyle Properties, Inc.

 

687

 

46

Equity Residential

 

961

 

69

Essex Property Trust, Inc.

 

239

 

73

First Industrial Realty Trust, Inc.

 

543

 

29

Gaming & Leisure Properties, Inc.

 

1,239

 

63

Healthcare Realty Trust, Inc.

 

3,808

 

64

Iron Mountain, Inc.

 

2,013

 

173

Kimco Realty Corp.

 

1,294

 

27

Lamar Advertising Co. 'A'

 

780

 

89

LXP Industrial Trust

 

3,273

 

28

Macerich Co.

 

3,054

 

52

Medical Properties Trust, Inc.

 

9,574

 

58

MFA Financial, Inc.

 

1,569

 

16

Mid-America Apartment Communities, Inc.

 

246

 

41

NNN REIT, Inc.

 

552

 

23

Omega Healthcare Investors, Inc.

 

1,029

 

39

Outfront Media, Inc.

 

1,054

 

17

Park Hotels & Resorts, Inc.

 

4,565

 

49

PennyMac Mortgage Investment Trust

 

1,085

 

16

Phillips Edison & Co., Inc.

 

545

 

20

Public Storage

 

554

 

166

Rayonier, Inc.

 

1,055

 

29

Realty Income Corp.

 

1,926

 

112

Rithm Capital Corp.

 

2,240

 

26

RLJ Lodging Trust

 

2,373

 

19

SBA Communications Corp.

 

226

 

50

Simon Property Group, Inc.

 

1,799

 

299

SL Green Realty Corp.

 

1,493

 

86

Sun Communities, Inc.

 

758

 

97

Sunstone Hotel Investors, Inc.

 

1,932

 

18

UDR, Inc.

 

1,282

 

58

Ventas, Inc.

 

1,221

 

84

Vornado Realty Trust

 

2,484

 

92

Welltower, Inc.

 

1,701

 

261

Xenia Hotels & Resorts, Inc.

 

1,503

 

18

 

 

 

 

3,236

Total Real Estate Investment Trusts (Cost $3,022)

 

 

 

3,236

Total Investments in Securities (Cost $149,355)

 

 

 

171,436

Total Investments 99.8% (Cost $149,355)

 

 

$

171,436

Other Assets and Liabilities, net 0.2%

 

 

 

291

Net Assets 100.0%

 

 

$

171,727

Schedule of Investments PIMCO RAFI Dynamic Multi-Factor U.S. Equity ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

«

Security valued using significant unobservable inputs (Level 3).

(a)

Security did not produce income within the last twelve months.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Ireland

 

Health Care

$

19

$

0

$

0

$

19

 

 

Information Technology

 

511

 

0

 

0

 

511

 

 

United Kingdom

 

Communication Services

 

51

 

0

 

0

 

51

 

 

Consumer Staples

 

1

 

0

 

0

 

1

 

 

Energy

 

70

 

0

 

0

 

70

 

 

Financials

 

787

 

0

 

0

 

787

 

 

Industrials

 

48

 

0

 

0

 

48

 

 

Materials

 

86

 

0

 

0

 

86

 

 

United States

 

Communication Services

 

13,288

 

0

 

0

 

13,288

 

 

Consumer Discretionary

 

16,996

 

0

 

0

 

16,996

 

 

Consumer Staples

 

22,777

 

0

 

0

 

22,777

 

 

Energy

 

5,201

 

0

 

0

 

5,201

 

 

Financials

 

28,855

 

0

 

0

 

28,855

 

 

Health Care

 

26,197

 

0

 

0

 

26,197

 

 

Industrials

 

18,664

 

0

 

0

 

18,664

 

 

Information Technology

 

26,158

 

0

 

0

 

26,158

 

 

Materials

 

4,487

 

0

 

0

 

4,487

 

 

Real Estate

 

235

 

0

 

0

 

235

 

 

Utilities

 

3,769

 

0

 

0

 

3,769

 

Real Estate Investment Trusts

 

United States

 

Real Estate

 

3,236

 

0

 

0

 

3,236

 

Total Investments

$

171,436

$

0

$

0

$

171,436

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO RAFI ESG U.S. ETF

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 99.4% ¤

 

 

 

 

COMMON STOCKS 97.4%

 

 

 

 

IRELAND 0.9%

 

 

 

 

INFORMATION TECHNOLOGY 0.9%

 

 

 

 

Accenture PLC 'A'

 

1,600

$

500

TE Connectivity PlC

 

1,692

 

239

 

 

 

 

739

Total Ireland

 

 

 

739

SWITZERLAND 0.1%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Sunrise Communications AG 'A'

 

1,803

 

87

Total Switzerland

 

 

 

87

UNITED KINGDOM 0.3%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Liberty Global Ltd. 'C' (a)

 

9,671

 

116

INDUSTRIALS 0.0%

 

 

 

 

CNH Industrial NV

 

2,220

 

27

MATERIALS 0.2%

 

 

 

 

Amcor PLC

 

12,013

 

117

Total United Kingdom

 

 

 

260

UNITED STATES 96.1%

 

 

 

 

COMMUNICATION SERVICES 7.7%

 

 

 

 

AT&T, Inc.

 

70,921

 

2,006

Comcast Corp. 'A'

 

27,705

 

1,022

Electronic Arts, Inc.

 

1,216

 

176

Fox Corp. 'A'

 

1,786

 

101

Interpublic Group of Cos., Inc.

 

718

 

19

Lumen Technologies, Inc. (a)

 

19,866

 

78

News Corp. 'A'

 

1,830

 

50

Omnicom Group, Inc.

 

998

 

83

Paramount Global 'B'

 

13,616

 

163

T-Mobile U.S., Inc.

 

659

 

176

Verizon Communications, Inc.

 

38,827

 

1,761

Walt Disney Co.

 

7,103

 

701

 

 

 

 

6,336

CONSUMER DISCRETIONARY 7.2%

 

 

 

 

Best Buy Co., Inc.

 

3,702

 

273

Booking Holdings, Inc.

 

11

 

51

BorgWarner, Inc.

 

700

 

20

Carnival Corp. (a)

 

459

 

9

Chipotle Mexican Grill, Inc. (a)

 

169

 

8

eBay, Inc.

 

5,217

 

353

Expedia Group, Inc.

 

47

 

8

Foot Locker, Inc. (a)

 

1,607

 

23

Ford Motor Co.

 

56,892

 

571

Gap, Inc.

 

3,344

 

69

General Motors Co.

 

23,024

 

1,083

Genuine Parts Co.

 

231

 

28

Goodyear Tire & Rubber Co. (a)

 

7,154

 

66

Hilton Worldwide Holdings, Inc.

 

422

 

96

Home Depot, Inc.

 

2,843

 

1,042

Kohl's Corp.

 

7,091

 

58

Lear Corp.

 

729

 

64

LKQ Corp.

 

1,889

 

80

Lowe's Cos., Inc.

 

3,059

 

713

Macy's, Inc.

 

4,584

 

58

Schedule of Investments PIMCO RAFI ESG U.S. ETF (Cont.)

March 31, 2025 (Unaudited)

 

Marriott International, Inc. 'A'

 

611

 

146

Newell Brands, Inc.

 

1,891

 

12

NIKE, Inc. 'B'

 

2,670

 

170

PVH Corp.

 

810

 

52

Ralph Lauren Corp.

 

37

 

8

Tapestry, Inc.

 

1,981

 

139

Tesla, Inc. (a)

 

448

 

116

Thor Industries, Inc.

 

103

 

8

TJX Cos., Inc.

 

2,585

 

315

Tractor Supply Co.

 

1,388

 

76

VF Corp.

 

5,812

 

90

Whirlpool Corp.

 

1,356

 

122

 

 

 

 

5,927

CONSUMER STAPLES 7.8%

 

 

 

 

Archer-Daniels-Midland Co.

 

5,751

 

276

Bunge Global SA

 

551

 

42

Campbell's Co.

 

843

 

34

Church & Dwight Co., Inc.

 

508

 

56

Coca-Cola Co.

 

9,016

 

646

Colgate-Palmolive Co.

 

2,816

 

264

Conagra Brands, Inc.

 

3,742

 

100

Dollar General Corp.

 

915

 

80

Dollar Tree, Inc. (a)

 

388

 

29

Estee Lauder Cos., Inc. 'A'

 

1,478

 

98

General Mills, Inc.

 

4,352

 

260

Hershey Co.

 

290

 

50

Hormel Foods Corp.

 

1,219

 

38

J M Smucker Co.

 

582

 

69

Kellanova

 

1,165

 

96

Kenvue, Inc.

 

1,521

 

36

Keurig Dr. Pepper, Inc.

 

1,841

 

63

Kimberly-Clark Corp.

 

1,547

 

220

Kraft Heinz Co.

 

6,832

 

208

McCormick & Co., Inc.

 

102

 

8

Mondelez International, Inc. 'A'

 

3,796

 

258

PepsiCo, Inc.

 

4,224

 

633

Procter & Gamble Co.

 

11,920

 

2,031

Sysco Corp.

 

2,378

 

178

Target Corp.

 

5,011

 

523

U.S. Foods Holding Corp. (a)

 

990

 

65

 

 

 

 

6,361

FINANCIALS 14.4%

 

 

 

 

Aflac, Inc.

 

1,067

 

119

Allstate Corp.

 

1,897

 

393

American Express Co.

 

1,278

 

344

Ameriprise Financial, Inc.

 

121

 

59

Bank of New York Mellon Corp.

 

4,120

 

345

Blackrock, Inc.

 

446

 

422

Citigroup, Inc.

 

24,468

 

1,737

Fidelity National Information Services, Inc.

 

2,427

 

181

Fifth Third Bancorp

 

1,980

 

78

Fiserv, Inc. (a)

 

932

 

206

Global Payments, Inc.

 

370

 

36

Goldman Sachs Group, Inc.

 

1,306

 

713

Hartford Insurance Group, Inc.

 

1,617

 

200

JPMorgan Chase & Co.

 

9,707

 

2,381

Mastercard, Inc. 'A'

 

1,084

 

594

MetLife, Inc.

 

4,978

 

400

Moody's Corp.

 

241

 

112

Nasdaq, Inc.

 

596

 

45

Northern Trust Corp.

 

722

 

71

PayPal Holdings, Inc. (a)

 

2,599

 

170

Principal Financial Group, Inc.

 

1,757

 

148

Prudential Financial, Inc.

 

2,789

 

311

S&P Global, Inc.

 

177

 

90

State Street Corp.

 

1,762

 

158

T. Rowe Price Group, Inc.

 

1,306

 

120

Unum Group

 

244

 

20

Visa, Inc. 'A'

 

2,311

 

810

Wells Fargo & Co.

 

20,668

 

1,484

 

 

 

 

11,747

HEALTH CARE 22.5%

 

 

 

 

Abbott Laboratories

 

7,515

 

997

AbbVie, Inc.

 

6,494

 

1,361

Agilent Technologies, Inc.

 

987

 

116

Amgen, Inc.

 

1,944

 

606

Baxter International, Inc.

 

5,441

 

186

Becton Dickinson & Co.

 

1,135

 

260

Biogen, Inc. (a)

 

1,326

 

182

Boston Scientific Corp. (a)

 

282

 

29

Schedule of Investments PIMCO RAFI ESG U.S. ETF (Cont.)

March 31, 2025 (Unaudited)

 

Bristol-Myers Squibb Co.

 

24,515

 

1,495

Cardinal Health, Inc.

 

1,752

 

241

Cencora, Inc.

 

390

 

109

Centene Corp. (a)

 

1,612

 

98

Cigna Group

 

3,135

 

1,031

CVS Health Corp.

 

15,889

 

1,077

Danaher Corp.

 

1,270

 

260

DaVita, Inc. (a)

 

368

 

56

Edwards Lifesciences Corp. (a)

 

1,919

 

139

Elevance Health, Inc.

 

1,825

 

794

Eli Lilly & Co.

 

459

 

379

GE HealthCare Technologies, Inc.

 

3,147

 

254

Gilead Sciences, Inc.

 

7,374

 

826

GRAIL, Inc. (a)

 

33

 

1

HCA Healthcare, Inc.

 

687

 

237

Henry Schein, Inc. (a)

 

566

 

39

Hologic, Inc. (a)

 

1,181

 

73

Humana, Inc.

 

1,625

 

430

Illumina, Inc. (a)

 

519

 

41

Intuitive Surgical, Inc. (a)

 

181

 

90

Johnson & Johnson

 

15,074

 

2,500

Labcorp Holdings, Inc.

 

938

 

218

McKesson Corp.

 

329

 

221

Merck & Co., Inc.

 

15,132

 

1,358

Moderna, Inc. (a)

 

2,085

 

59

Pfizer, Inc.

 

50,945

 

1,291

Regeneron Pharmaceuticals, Inc.

 

158

 

100

STERIS PLC

 

37

 

8

Stryker Corp.

 

114

 

42

Thermo Fisher Scientific, Inc.

 

604

 

301

UnitedHealth Group, Inc.

 

1,217

 

637

Viatris, Inc.

 

8,544

 

74

Waters Corp. (a)

 

191

 

70

Zoetis, Inc.

 

630

 

104

 

 

 

 

18,390

INDUSTRIALS 4.4%

 

 

 

 

3M Co.

 

4,438

 

652

AGCO Corp.

 

590

 

55

Automatic Data Processing, Inc.

 

1,070

 

327

Carrier Global Corp.

 

2,474

 

157

Cintas Corp.

 

135

 

28

Cummins, Inc.

 

144

 

45

Deere & Co.

 

1,054

 

495

Dover Corp.

 

45

 

8

Fastenal Co.

 

721

 

56

FedEx Corp.

 

403

 

98

Ferguson Enterprises, Inc.

 

110

 

18

Illinois Tool Works, Inc.

 

459

 

114

Ingersoll Rand, Inc.

 

144

 

11

Johnson Controls International PLC

 

3,893

 

312

ManpowerGroup, Inc.

 

863

 

50

Otis Worldwide Corp.

 

905

 

93

Owens Corning

 

703

 

100

Paychex, Inc.

 

588

 

91

Republic Services, Inc.

 

43

 

10

Rockwell Automation, Inc.

 

135

 

35

Stanley Black & Decker, Inc.

 

1,258

 

97

United Parcel Service, Inc. 'B'

 

2,328

 

256

United Rentals, Inc.

 

26

 

16

Waste Management, Inc.

 

1,359

 

315

WESCO International, Inc.

 

49

 

7

Westinghouse Air Brake Technologies Corp.

 

494

 

89

WW Grainger, Inc.

 

96

 

95

 

 

 

 

3,630

INFORMATION TECHNOLOGY 27.0%

 

 

 

 

Adobe, Inc. (a)

 

1,166

 

447

Advanced Micro Devices, Inc. (a)

 

1,241

 

127

Akamai Technologies, Inc. (a)

 

686

 

55

Amdocs Ltd.

 

717

 

66

Analog Devices, Inc.

 

1,695

 

342

Apple, Inc.

 

18,828

 

4,182

Applied Materials, Inc.

 

3,343

 

485

Arrow Electronics, Inc. (a)

 

903

 

94

Autodesk, Inc. (a)

 

31

 

8

Avnet, Inc.

 

1,055

 

51

Broadcom, Inc.

 

4,801

 

804

Cadence Design Systems, Inc. (a)

 

273

 

69

CDW Corp.

 

385

 

62

Cisco Systems, Inc.

 

33,392

 

2,061

Cognizant Technology Solutions Corp. 'A'

 

2,262

 

173

Corning, Inc.

 

1,595

 

73

Dell Technologies, Inc. 'C'

 

836

 

76

Schedule of Investments PIMCO RAFI ESG U.S. ETF (Cont.)

March 31, 2025 (Unaudited)

 

DXC Technology Co. (a)

 

2,717

 

46

Flex Ltd. (a)

 

226

 

7

Fortinet, Inc. (a)

 

142

 

14

Gen Digital, Inc.

 

681

 

18

Hewlett Packard Enterprise Co.

 

21,907

 

338

HP, Inc.

 

13,781

 

382

Intel Corp.

 

72,886

 

1,655

International Business Machines Corp.

 

5,244

 

1,304

Intuit, Inc.

 

78

 

48

Jabil, Inc.

 

56

 

8

Juniper Networks, Inc.

 

3,027

 

110

Keysight Technologies, Inc. (a)

 

688

 

103

KLA Corp.

 

229

 

156

Kyndryl Holdings, Inc. (a)

 

2,031

 

64

Lam Research Corp.

 

4,806

 

349

Marvell Technology, Inc.

 

1,216

 

75

Microchip Technology, Inc.

 

955

 

46

Micron Technology, Inc.

 

4,395

 

382

Microsoft Corp.

 

9,854

 

3,699

Motorola Solutions, Inc.

 

269

 

118

NetApp, Inc.

 

1,336

 

117

NVIDIA Corp.

 

5,878

 

637

ON Semiconductor Corp. (a)

 

1,582

 

64

Oracle Corp.

 

5,226

 

731

Palo Alto Networks, Inc. (a)

 

95

 

16

QUALCOMM, Inc.

 

6,423

 

987

Salesforce, Inc.

 

1,625

 

436

Sandisk Corp. (a)

 

1,142

 

54

Seagate Technology Holdings PLC

 

2,187

 

186

Synopsys, Inc. (a)

 

123

 

53

Teradyne, Inc.

 

726

 

60

Texas Instruments, Inc.

 

2,605

 

468

Twilio, Inc. 'A' (a)

 

81

 

8

Western Digital Corp. (a)

 

3,121

 

126

Workday, Inc. 'A' (a)

 

51

 

12

Xerox Holdings Corp.

 

4,011

 

19

 

 

 

 

22,071

MATERIALS 4.3%

 

 

 

 

Air Products & Chemicals, Inc.

 

691

 

204

Ball Corp.

 

1,883

 

98

CF Industries Holdings, Inc.

 

1,533

 

120

Corteva, Inc.

 

1,715

 

108

CRH PLC

 

2,644

 

233

Dow, Inc.

 

10,412

 

363

DuPont de Nemours, Inc.

 

4,631

 

346

Ecolab, Inc.

 

660

 

167

FMC Corp.

 

442

 

19

Huntsman Corp.

 

3,517

 

55

International Flavors & Fragrances, Inc.

 

1,264

 

98

International Paper Co.

 

4,184

 

223

Linde PLC

 

1,550

 

722

Mosaic Co.

 

7,096

 

192

Newmont Corp.

 

4,867

 

235

Packaging Corp. of America

 

432

 

85

PPG Industries, Inc.

 

1,182

 

129

Sherwin-Williams Co.

 

271

 

95

U.S. Steel Corp.

 

564

 

24

 

 

 

 

3,516

REAL ESTATE 0.4%

 

 

 

 

CBRE Group, Inc. 'A' (a)

 

1,885

 

247

Jones Lang LaSalle, Inc. (a)

 

486

 

120

 

 

 

 

367

UTILITIES 0.4%

 

 

 

 

American Water Works Co., Inc.

 

633

 

93

Edison International

 

2,726

 

161

Exelon Corp.

 

1,215

 

56

 

 

 

 

310

Total United States

 

 

 

78,655

Total Common Stocks (Cost $73,279)

 

 

 

79,741

REAL ESTATE INVESTMENT TRUSTS 2.0%

 

 

 

 

UNITED STATES 2.0%

 

 

 

 

REAL ESTATE 2.0%

 

 

 

 

American Tower Corp.

 

959

 

209

AvalonBay Communities, Inc.

 

486

 

104

Schedule of Investments PIMCO RAFI ESG U.S. ETF (Cont.)

March 31, 2025 (Unaudited)

 

Crown Castle, Inc.

 

1,840

 

192

Equinix, Inc.

 

184

 

150

Equity Residential

 

1,541

 

110

Healthpeak Properties, Inc.

 

1,027

 

21

Host Hotels & Resorts, Inc.

 

4,327

 

61

Iron Mountain, Inc.

 

943

 

81

Kimco Realty Corp.

 

1,883

 

40

Mid-America Apartment Communities, Inc.

 

326

 

55

Prologis, Inc.

 

456

 

51

Public Storage

 

87

 

26

Ventas, Inc.

 

1,989

 

137

Welltower, Inc.

 

1,175

 

180

Weyerhaeuser Co.

 

5,989

 

175

 

 

 

 

1,592

Total Real Estate Investment Trusts (Cost $1,502)

 

 

 

1,592

Total Investments in Securities (Cost $74,781)

 

 

 

81,333

Total Investments 99.4% (Cost $74,781)

 

 

$

81,333

Other Assets and Liabilities, net 0.6%

 

 

 

514

Net Assets 100.0%

 

 

$

81,847

Schedule of Investments PIMCO RAFI ESG U.S. ETF (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Security did not produce income within the last twelve months.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Common Stocks

 

Ireland

 

Information Technology

$

739

$

0

$

0

$

739

 

 

Switzerland

 

Communication Services

 

87

 

0

 

0

 

87

 

 

United Kingdom

 

Communication Services

 

116

 

0

 

0

 

116

 

 

Industrials

 

27

 

0

 

0

 

27

 

 

Materials

 

117

 

0

 

0

 

117

 

 

United States

 

Communication Services

 

6,336

 

0

 

0

 

6,336

 

 

Consumer Discretionary

 

5,927

 

0

 

0

 

5,927

 

 

Consumer Staples

 

6,361

 

0

 

0

 

6,361

 

 

Financials

 

11,747

 

0

 

0

 

11,747

 

 

Health Care

 

18,390

 

0

 

0

 

18,390

 

 

Industrials

 

3,630

 

0

 

0

 

3,630

 

 

Information Technology

 

22,071

 

0

 

0

 

22,071

 

 

Materials

 

3,516

 

0

 

0

 

3,516

 

 

Real Estate

 

367

 

0

 

0

 

367

 

 

Utilities

 

310

 

0

 

0

 

310

 

Real Estate Investment Trusts

 

United States

 

Real Estate

 

1,592

 

0

 

0

 

1,592

 

Total Investments

$

81,333

$

0

$

0

$

81,333

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2030 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 49.4% ¤

 

 

 

 

MUTUAL FUNDS 48.9%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

2,781,547

$

71,124

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

846,336

 

24,138

Vanguard Institutional Index Fund 'Institutional'

 

386,568

 

176,283

Vanguard Small-Cap Index Fund 'Institutional'

 

85,912

 

9,126

Total Mutual Funds (Cost $208,790)

 

 

 

280,671

SHORT-TERM INSTRUMENTS 0.5%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

598,833

 

599

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.4%

 

 

 

 

4.289% due 05/29/2025 - 06/05/2025 (a)(b)(f)(h)

$

1,904

 

1,890

Total Short-Term Instruments (Cost $2,488)

 

 

 

2,489

Total Investments in Securities (Cost $211,278)

 

 

 

283,160

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 51.7%

 

 

 

 

MUTUAL FUNDS (c) 46.3%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

2,754,633

 

15,839

PIMCO High Yield Fund

 

496,872

 

3,965

PIMCO Income Fund

 

4,074,780

 

43,600

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

1,071,458

 

10,554

PIMCO Long-Term Real Return Fund

 

4,296,294

 

52,114

PIMCO Long-Term U.S. Government Fund

 

3,315,298

 

47,276

PIMCO Real Return Fund

 

2,742,144

 

28,409

PIMCO Total Return Fund

 

7,315,877

 

63,502

Total Mutual Funds (Cost $278,599)

 

 

 

265,259

SHORT-TERM INSTRUMENTS 5.4%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.4%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

3,197,214

 

31,121

Total Short-Term Instruments (Cost $31,105)

 

 

 

31,121

Total Investments in Affiliates (Cost $309,704)

 

 

 

296,380

Total Investments 101.1% (Cost $520,982)

 

 

$

579,540

Financial Derivative Instruments (e)(g) 0.1%(Cost or Premiums, net $1,602)

 

 

 

673

Other Assets and Liabilities, net (1.2)%

 

 

 

(6,784)

Net Assets 100.0%

 

 

$

573,429

Schedule of Investments PIMCO REALPATH® Blend 2030 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: EXCHANGE-TRADED OR CENTRALLY CLEARED

PURCHASED OPTIONS:

OPTIONS ON INDEXES

Description

 

 

Strike
Value

Expiration
Date

 

# of
Contracts

 

Notional Amount

 

Cost

 

Market
Value

Put - CBOE S&P 500

 

 

4,500.000

06/20/2025

 

126

$

13

$

789

$

224

Put - CBOE S&P 500

 

 

4,825.000

09/19/2025

 

115

 

12

 

1,269

 

819

Total Purchased Options

$

2,058

$

1,043

WRITTEN OPTIONS:

OPTIONS ON INDEXES

Description

 

 

Strike
Value

Expiration
Date

 

# of
Contracts

 

Notional Amount

 

Premiums
(Received)

 

Market
Value

Put - CBOE S&P 500

 

 

3,825.000

09/19/2025

 

115

$

12

$

(456)

$

(237)

Total Written Options

$

(456)

$

(237)

(f)

Securities with an aggregate market value of $146 have been pledged as collateral as of March 31, 2025 for equity short sales and equity options as governed by prime brokerage agreements and agreements governing listed equity option transactions.

(g)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

20,487

4.350%

Monthly

02/17/2026

$

10,253

$

0

$

136

$

136

$

0

MYI

Receive

FNRETR Index

200

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

5,202

 

0

 

(207)

 

0

 

(207)

 

Receive

FNRETR Index

600

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

15,042

 

0

 

(57)

 

0

 

(57)

 

Receive

FNRETR Index

15

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

376

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

47

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

1,178

 

0

 

(5)

 

0

 

(5)

Total Swap Agreements

$

0

$

(133)

$

136

$

(269)

(h)

Securities with an aggregate market value of $862 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Schedule of Investments PIMCO REALPATH® Blend 2030 Fund (Cont.)

March 31, 2025 (Unaudited)

 

Investments in Securities, at Value

Mutual Funds

$

280,671

$

0

$

0

$

280,671

 

Short-Term Instruments

 

Mutual Funds

 

0

 

599

 

0

 

599

 

 

U.S. Treasury Bills

 

0

 

1,890

 

0

 

1,890

 

 

$

280,671

$

2,489

$

0

$

283,160

 

Investments in Affiliates, at Value

Mutual Funds

 

265,259

 

0

 

0

 

265,259

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

31,121

 

0

 

0

 

31,121

 

 

$

296,380

$

0

$

0

$

296,380

 

Total Investments

$

577,051

$

2,489

$

0

$

579,540

 

Financial Derivative Instruments - Assets

Exchange-traded or centrally cleared

 

0

 

1,043

 

0

 

1,043

 

Over the counter

 

0

 

136

 

0

 

136

 

 

$

0

$

1,179

$

0

$

1,179

 

Financial Derivative Instruments - Liabilities

Exchange-traded or centrally cleared

 

0

 

(237)

 

0

 

(237)

 

Over the counter

 

0

 

(269)

 

0

 

(269)

 

 

$

0

$

(506)

$

0

$

(506)

 

Total Financial Derivative Instruments

$

0

$

673

$

0

$

673

 

Totals

$

577,051

$

3,162

$

0

$

580,213

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2035 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 60.8% ¤

 

 

 

 

MUTUAL FUNDS 60.4%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

3,719,083

$

95,097

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

1,233,338

 

35,175

Vanguard Institutional Index Fund 'Institutional'

 

489,245

 

223,106

Vanguard Small-Cap Index Fund 'Institutional'

 

156,641

 

16,640

Total Mutual Funds (Cost $284,537)

 

 

 

370,018

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

524,934

 

525

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.288% due 05/29/2025 - 06/05/2025 (a)(b)(f)

$

1,818

 

1,804

Total Short-Term Instruments (Cost $2,329)

 

 

 

2,329

Total Investments in Securities (Cost $286,866)

 

 

 

372,347

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 40.7%

 

 

 

 

MUTUAL FUNDS (c) 35.1%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

2,256,438

 

12,975

PIMCO High Yield Fund

 

391,626

 

3,125

PIMCO Income Fund

 

3,306,068

 

35,375

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

789,450

 

7,776

PIMCO Long-Term Real Return Fund

 

3,455,116

 

41,911

PIMCO Long-Term U.S. Government Fund

 

2,555,422

 

36,440

PIMCO Real Return Fund

 

2,236,814

 

23,173

PIMCO Total Return Fund

 

6,099,581

 

52,944

Total Mutual Funds (Cost $222,355)

 

 

 

213,719

SHORT-TERM INSTRUMENTS 5.6%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.6%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

3,542,098

 

34,479

Total Short-Term Instruments (Cost $34,454)

 

 

 

34,479

Total Investments in Affiliates (Cost $256,809)

 

 

 

248,198

Total Investments 101.5% (Cost $543,675)

 

 

$

620,545

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(129)

Other Assets and Liabilities, net (1.5)%

 

 

 

(8,928)

Net Assets 100.0%

 

 

$

611,488

Schedule of Investments PIMCO REALPATH® Blend 2035 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

19,607

4.350%

Monthly

02/17/2026

$

9,812

$

0

$

131

$

131

$

0

MYI

Receive

FNRETR Index

119

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

3,095

 

0

 

(123)

 

0

 

(123)

 

Receive

FNRETR Index

67

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

1,743

 

0

 

(69)

 

0

 

(69)

 

Receive

FNRETR Index

676

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

16,947

 

0

 

(65)

 

0

 

(65)

 

Receive

FNRETR Index

24

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

602

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

29

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

727

 

0

 

(3)

 

0

 

(3)

Total Swap Agreements

$

0

$

(129)

$

131

$

(260)

(f)

Securities with an aggregate market value of $901 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

370,018

$

0

$

0

$

370,018

 

Short-Term Instruments

 

Mutual Funds

 

0

 

525

 

0

 

525

 

 

U.S. Treasury Bills

 

0

 

1,804

 

0

 

1,804

 

 

$

370,018

$

2,329

$

0

$

372,347

 

Investments in Affiliates, at Value

Mutual Funds

 

213,719

 

0

 

0

 

213,719

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

34,479

 

0

 

0

 

34,479

 

 

$

248,198

$

0

$

0

$

248,198

 

Total Investments

$

618,216

$

2,329

$

0

$

620,545

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

131

$

0

$

131

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(260)

$

0

$

(260)

 

Total Financial Derivative Instruments

$

0

$

(129)

$

0

$

(129)

 

Totals

$

618,216

$

2,200

$

0

$

620,416

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2040 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 72.1% ¤

 

 

 

 

MUTUAL FUNDS 71.7%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

3,886,850

$

99,387

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

1,387,449

 

39,570

Vanguard Institutional Index Fund 'Institutional'

 

513,785

 

234,296

Vanguard Small-Cap Index Fund 'Institutional'

 

151,849

 

16,131

Total Mutual Funds (Cost $295,811)

 

 

 

389,384

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

547,517

 

548

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.289% due 05/29/2025 - 06/05/2025 (a)(b)(f)

$

1,767

 

1,754

Total Short-Term Instruments (Cost $2,302)

 

 

 

2,302

Total Investments in Securities (Cost $298,113)

 

 

 

391,686

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 28.9%

 

 

 

 

MUTUAL FUNDS (c) 23.7%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

1,672,457

 

9,617

PIMCO High Yield Fund

 

185,272

 

1,478

PIMCO Income Fund

 

1,902,295

 

20,354

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

596,436

 

5,875

PIMCO Long-Term Real Return Fund

 

2,200,060

 

26,687

PIMCO Long-Term U.S. Government Fund

 

1,313,373

 

18,729

PIMCO Real Return Fund

 

1,379,034

 

14,287

PIMCO Total Return Fund

 

3,695,184

 

32,074

Total Mutual Funds (Cost $135,796)

 

 

 

129,101

SHORT-TERM INSTRUMENTS 5.2%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.2%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

2,927,009

 

28,491

Total Short-Term Instruments (Cost $28,476)

 

 

 

28,491

Total Investments in Affiliates (Cost $164,272)

 

 

 

157,592

Total Investments 101.0% (Cost $462,385)

 

 

$

549,278

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(155)

Other Assets and Liabilities, net (1.0)%

 

 

 

(5,355)

Net Assets 100.0%

 

 

$

543,768

Schedule of Investments PIMCO REALPATH® Blend 2040 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

16,231

4.350%

Monthly

02/17/2026

$

8,123

$

0

$

108

$

108

$

0

MYI

Receive

FNRETR Index

197

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

5,124

 

0

 

(204)

 

0

 

(204)

 

Receive

FNRETR Index

575

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

14,415

 

0

 

(55)

 

0

 

(55)

 

Receive

FNRETR Index

40

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

1,003

 

0

 

(4)

 

0

 

(4)

Total Swap Agreements

$

0

$

(155)

$

108

$

(263)

(f)

Securities with an aggregate market value of $821 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

389,384

$

0

$

0

$

389,384

 

Short-Term Instruments

 

Mutual Funds

 

0

 

548

 

0

 

548

 

 

U.S. Treasury Bills

 

0

 

1,754

 

0

 

1,754

 

 

$

389,384

$

2,302

$

0

$

391,686

 

Investments in Affiliates, at Value

Mutual Funds

 

129,101

 

0

 

0

 

129,101

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

28,491

 

0

 

0

 

28,491

 

 

$

157,592

$

0

$

0

$

157,592

 

Total Investments

$

546,976

$

2,302

$

0

$

549,278

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

108

$

0

$

108

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(263)

$

0

$

(263)

 

Total Financial Derivative Instruments

$

0

$

(155)

$

0

$

(155)

 

Totals

$

546,976

$

2,147

$

0

$

549,123

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2045 Fund

March 31, 2025

(Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 80.7% ¤

 

 

 

 

MUTUAL FUNDS 80.3%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

4,610,293

$

117,885

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

1,405,718

 

40,091

Vanguard Institutional Index Fund 'Institutional'

 

554,699

 

252,954

Vanguard Small-Cap Index Fund 'Institutional'

 

150,394

 

15,976

Total Mutual Funds (Cost $327,009)

 

 

 

426,906

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

189,141

 

189

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.289% due 05/29/2025 - 06/05/2025 (a)(b)(f)

$

1,716

 

1,704

Total Short-Term Instruments (Cost $1,892)

 

 

 

1,893

Total Investments in Securities (Cost $328,901)

 

 

 

428,799

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 20.6%

 

 

 

 

MUTUAL FUNDS (c) 15.1%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

1,368,090

 

7,867

PIMCO High Yield Fund

 

20,075

 

160

PIMCO Income Fund

 

855,060

 

9,149

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

420,884

 

4,146

PIMCO Long-Term Real Return Fund

 

1,138,441

 

13,809

PIMCO Long-Term U.S. Government Fund

 

968,897

 

13,816

PIMCO Real Return Fund

 

1,105,867

 

11,457

PIMCO Total Return Fund

 

2,276,384

 

19,759

Total Mutual Funds (Cost $84,434)

 

 

 

80,163

SHORT-TERM INSTRUMENTS 5.5%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.5%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

3,016,287

 

29,361

Total Short-Term Instruments (Cost $29,338)

 

 

 

29,361

Total Investments in Affiliates (Cost $113,772)

 

 

 

109,524

Total Investments 101.3% (Cost $442,673)

 

 

$

538,323

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(200)

Other Assets and Liabilities, net (1.3)%

 

 

 

(6,450)

Net Assets 100.0%

 

 

$

531,673

Schedule of Investments PIMCO REALPATH® Blend 2045 Fund (Cont.)

March 31, 2025

(Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

14,911

4.350%

Monthly

02/17/2026

$

7,462

$

0

$

99

$

99

$

0

MYI

Receive

FNRETR Index

189

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

4,916

 

0

 

(195)

 

0

 

(195)

 

Receive

FNRETR Index

48

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

1,249

 

0

 

(50)

 

0

 

(50)

 

Receive

FNRETR Index

530

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

13,287

 

0

 

(51)

 

0

 

(51)

 

Receive

FNRETR Index

14

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

351

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

33

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

827

 

0

 

(3)

 

0

 

(3)

Total Swap Agreements

$

0

$

(200)

$

99

$

(299)

(f)

Securities with an aggregate market value of $812 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

426,906

$

0

$

0

$

426,906

 

Short-Term Instruments

 

Mutual Funds

 

0

 

189

 

0

 

189

 

 

U.S. Treasury Bills

 

0

 

1,704

 

0

 

1,704

 

 

$

426,906

$

1,893

$

0

$

428,799

 

Investments in Affiliates, at Value

Mutual Funds

 

80,163

 

0

 

0

 

80,163

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

29,361

 

0

 

0

 

29,361

 

 

$

109,524

$

0

$

0

$

109,524

 

Total Investments

$

536,430

$

1,893

$

0

$

538,323

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

99

$

0

$

99

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(299)

$

0

$

(299)

 

Total Financial Derivative Instruments

$

0

$

(200)

$

0

$

(200)

 

Totals

$

536,430

$

1,693

$

0

$

538,123

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2050 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 86.6% ¤

 

 

 

 

MUTUAL FUNDS 86.2%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

4,736,398

$

121,110

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

1,384,278

 

39,479

Vanguard Institutional Index Fund 'Institutional'

 

540,719

 

246,579

Vanguard Small-Cap Index Fund 'Institutional'

 

162,873

 

17,302

Total Mutual Funds (Cost $321,133)

 

 

 

424,470

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

517,296

 

517

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.288% due 05/29/2025 - 06/05/2025 (a)(b)(f)

$

1,584

 

1,573

Total Short-Term Instruments (Cost $2,090)

 

 

 

2,090

Total Investments in Securities (Cost $323,223)

 

 

 

426,560

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 15.5%

 

 

 

 

MUTUAL FUNDS (c) 9.3%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

494,738

 

2,845

PIMCO Income Fund

 

483,382

 

5,172

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

240,845

 

2,372

PIMCO Long-Term Real Return Fund

 

606,532

 

7,357

PIMCO Long-Term U.S. Government Fund

 

574,565

 

8,193

PIMCO Real Return Fund

 

672,248

 

6,965

PIMCO Total Return Fund

 

1,408,303

 

12,224

Total Mutual Funds (Cost $48,214)

 

 

 

45,128

SHORT-TERM INSTRUMENTS 6.2%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 6.2%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

3,140,297

 

30,568

Total Short-Term Instruments (Cost $30,551)

 

 

 

30,568

Total Investments in Affiliates (Cost $78,765)

 

 

 

75,696

Total Investments 102.1% (Cost $401,988)

 

 

$

502,256

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(108)

Other Assets and Liabilities, net (2.1)%

 

 

 

(10,143)

Net Assets 100.0%

 

 

$

492,005

Schedule of Investments PIMCO REALPATH® Blend 2050 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

13,124

4.350%

Monthly

02/17/2026

$

6,568

$

0

$

87

$

87

$

0

MYI

Receive

FNRETR Index

106

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

2,757

 

0

 

(110)

 

0

 

(110)

 

Receive

FNRETR Index

24

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

624

 

0

 

(25)

 

0

 

(25)

 

Receive

FNRETR Index

585

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

14,666

 

0

 

(56)

 

0

 

(56)

 

Receive

FNRETR Index

21

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

526

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

39

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

978

 

0

 

(4)

 

0

 

(4)

Total Swap Agreements

$

0

$

(108)

$

87

$

(195)

(f)

Securities with an aggregate market value of $761 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

424,470

$

0

$

0

$

424,470

 

Short-Term Instruments

 

Mutual Funds

 

0

 

517

 

0

 

517

 

 

U.S. Treasury Bills

 

0

 

1,573

 

0

 

1,573

 

 

$

424,470

$

2,090

$

0

$

426,560

 

Investments in Affiliates, at Value

Mutual Funds

 

45,128

 

0

 

0

 

45,128

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

30,568

 

0

 

0

 

30,568

 

 

$

75,696

$

0

$

0

$

75,696

 

Total Investments

$

500,166

$

2,090

$

0

$

502,256

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

87

$

0

$

87

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(195)

$

0

$

(195)

 

Total Financial Derivative Instruments

$

0

$

(108)

$

0

$

(108)

 

Totals

$

500,166

$

1,982

$

0

$

502,148

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2055 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 89.4% ¤

 

 

 

 

MUTUAL FUNDS 89.0%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

4,207,705

$

107,591

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

1,288,079

 

36,736

Vanguard Institutional Index Fund 'Institutional'

 

487,912

 

222,498

Vanguard Small-Cap Index Fund 'Institutional'

 

163,315

 

17,349

Total Mutual Funds (Cost $307,045)

 

 

 

384,174

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

534,055

 

534

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.286% due 05/29/2025 - 06/05/2025 (a)(b)(f)

$

1,199

 

1,190

Total Short-Term Instruments (Cost $1,725)

 

 

 

1,724

Total Investments in Securities (Cost $308,770)

 

 

 

385,898

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 12.5%

 

 

 

 

MUTUAL FUNDS (c) 6.4%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

235,711

 

1,355

PIMCO Income Fund

 

315,549

 

3,376

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

111,019

 

1,094

PIMCO Long-Term Real Return Fund

 

372,703

 

4,521

PIMCO Long-Term U.S. Government Fund

 

290,630

 

4,144

PIMCO Real Return Fund

 

503,832

 

5,220

PIMCO Total Return Fund

 

906,263

 

7,866

Total Mutual Funds (Cost $28,962)

 

 

 

27,576

SHORT-TERM INSTRUMENTS 6.1%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 6.1%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

2,702,116

 

26,303

Total Short-Term Instruments (Cost $26,278)

 

 

 

26,303

Total Investments in Affiliates (Cost $55,240)

 

 

 

53,879

Total Investments 101.9% (Cost $364,010)

 

 

$

439,777

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(93)

Other Assets and Liabilities, net (1.9)%

 

 

 

(8,279)

Net Assets 100.0%

 

 

$

431,405

Schedule of Investments PIMCO REALPATH® Blend 2055 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

10,762

4.350%

Monthly

02/17/2026

$

5,386

$

0

$

72

$

72

$

0

MYI

Receive

FNRETR Index

98

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

2,549

 

0

 

(101)

 

0

 

(101)

 

Receive

FNRETR Index

7

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

182

 

0

 

(7)

 

0

 

(7)

 

Receive

FNRETR Index

536

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

13,438

 

0

 

(52)

 

0

 

(52)

 

Receive

FNRETR Index

26

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

652

 

0

 

(1)

 

0

 

(1)

 

Receive

FNRETR Index

35

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

877

 

0

 

(4)

 

0

 

(4)

Total Swap Agreements

$

0

$

(93)

$

72

$

(165)

(f)

Securities with an aggregate market value of $699 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

384,174

$

0

$

0

$

384,174

 

Short-Term Instruments

 

Mutual Funds

 

0

 

534

 

0

 

534

 

 

U.S. Treasury Bills

 

0

 

1,190

 

0

 

1,190

 

 

$

384,174

$

1,724

$

0

$

385,898

 

Investments in Affiliates, at Value

Mutual Funds

 

27,576

 

0

 

0

 

27,576

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

26,303

 

0

 

0

 

26,303

 

 

$

53,879

$

0

$

0

$

53,879

 

Total Investments

$

438,053

$

1,724

$

0

$

439,777

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

72

$

0

$

72

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(165)

$

0

$

(165)

 

Total Financial Derivative Instruments

$

0

$

(93)

$

0

$

(93)

 

Totals

$

438,053

$

1,631

$

0

$

439,684

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2060 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 92.1% ¤

 

 

 

 

MUTUAL FUNDS 91.7%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

2,671,838

$

43,711

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

522,857

 

14,912

Vanguard Institutional Index Fund 'Institutional'

 

202,651

 

92,415

Vanguard Small-Cap Index Fund 'Institutional'

 

70,436

 

7,482

Total Mutual Funds (Cost $135,247)

 

 

 

158,520

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.2%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

338,034

 

338

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.2%

 

 

 

 

4.294% due 06/05/2025 (a)(b)(f)

$

315

 

313

Total Short-Term Instruments (Cost $651)

 

 

 

651

Total Investments in Securities (Cost $135,898)

 

 

 

159,171

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 10.6%

 

 

 

 

MUTUAL FUNDS (c) 5.0%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

89,997

 

517

PIMCO Income Fund

 

93,145

 

997

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

24,974

 

246

PIMCO Long-Term Real Return Fund

 

111,286

 

1,350

PIMCO Long-Term U.S. Government Fund

 

92,167

 

1,314

PIMCO Real Return Fund

 

188,026

 

1,948

PIMCO Total Return Fund

 

267,380

 

2,321

Total Mutual Funds (Cost $8,742)

 

 

 

8,693

SHORT-TERM INSTRUMENTS 5.6%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.6%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

1,002,020

 

9,754

Total Short-Term Instruments (Cost $9,750)

 

 

 

9,754

Total Investments in Affiliates (Cost $18,492)

 

 

 

18,447

Total Investments 102.7% (Cost $154,390)

 

 

$

177,618

Financial Derivative Instruments (e) (0.0)%(Cost or Premiums, net $0)

 

 

 

(74)

Other Assets and Liabilities, net (2.7)%

 

 

 

(4,659)

Net Assets 100.0%

 

 

$

172,885

Schedule of Investments PIMCO REALPATH® Blend 2060 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Zero coupon security.

(b)

Coupon represents a yield to maturity.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

3,879

4.350%

Monthly

02/17/2026

$

1,941

$

0

$

26

$

26

$

0

MYI

Receive

FNRETR Index

37

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

958

 

0

 

(33)

 

0

 

(33)

 

Receive

FNRETR Index

47

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

1,222

 

0

 

(48)

 

0

 

(48)

 

Receive

FNRETR Index

185

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

4,638

 

0

 

(18)

 

0

 

(18)

 

Receive

FNRETR Index

5

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

125

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

11

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

276

 

0

 

(1)

 

0

 

(1)

Total Swap Agreements

$

0

$

(74)

$

26

$

(100)

(f)

Securities with an aggregate market value of $313 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

158,520

$

0

$

0

$

158,520

 

Short-Term Instruments

 

Mutual Funds

 

0

 

338

 

0

 

338

 

 

U.S. Treasury Bills

 

0

 

313

 

0

 

313

 

 

$

158,520

$

651

$

0

$

159,171

 

Investments in Affiliates, at Value

Mutual Funds

 

8,693

 

0

 

0

 

8,693

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

9,754

 

0

 

0

 

9,754

 

 

$

18,447

$

0

$

0

$

18,447

 

Total Investments

$

176,967

$

651

$

0

$

177,618

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

26

$

0

$

26

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(100)

$

0

$

(100)

 

Total Financial Derivative Instruments

$

0

$

(74)

$

0

$

(74)

 

Totals

$

176,967

$

577

$

0

$

177,544

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2065 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 91.9% ¤

 

 

 

 

MUTUAL FUNDS 91.3%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

446,207

$

7,300

Vanguard Emerging Markets Stock Index Fund 'Admiral'

 

66,387

 

2,490

Vanguard Institutional Index Fund 'Institutional'

 

34,304

 

15,644

Vanguard Small-Cap Index Fund 'Admiral'

 

12,454

 

1,323

Total Mutual Funds (Cost $24,642)

 

 

 

26,757

SHORT-TERM INSTRUMENTS 0.6%

 

 

 

 

MUTUAL FUNDS 0.6%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (b)

 

164,453

 

165

Total Short-Term Instruments (Cost $165)

 

 

 

165

Total Investments in Securities (Cost $24,807)

 

 

 

26,922

INVESTMENTS IN AFFILIATES 9.2%

 

 

 

 

MUTUAL FUNDS (a) 4.1%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

15,559

 

90

PIMCO Income Fund

 

8,546

 

91

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

3,749

 

37

PIMCO Long-Term Real Return Fund

 

18,659

 

226

PIMCO Long-Term U.S. Government Fund

 

15,156

 

216

PIMCO Real Return Fund

 

32,110

 

333

PIMCO Total Return Fund

 

24,507

 

213

Total Mutual Funds (Cost $1,180)

 

 

 

1,206

SHORT-TERM INSTRUMENTS 5.1%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 5.1%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

152,086

 

1,480

Total Short-Term Instruments (Cost $1,480)

 

 

 

1,480

Total Investments in Affiliates (Cost $2,660)

 

 

 

2,686

Total Investments 101.1% (Cost $27,467)

 

 

$

29,608

Financial Derivative Instruments (c) (0.1)%(Cost or Premiums, net $0)

 

 

 

(22)

Other Assets and Liabilities, net (1.0)%

 

 

 

(289)

Net Assets 100.0%

 

 

$

29,297

Schedule of Investments PIMCO REALPATH® Blend 2065 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Institutional Class Shares of each Fund.

(b)

Coupon represents a 7-Day Yield.

(c)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

605

4.350%

Monthly

02/17/2026

$

303

$

0

$

4

$

4

$

0

MYI

Receive

FNRETR Index

9

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

234

 

0

 

(9)

 

0

 

(9)

 

Receive

FNRETR Index

14

4.740% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

364

 

0

 

(15)

 

0

 

(15)

 

Receive

FNRETR Index

15

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

376

 

0

 

(1)

 

0

 

(1)

 

Receive

FNRETR Index

4

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

100

 

0

 

0

 

0

 

0

 

Receive

FNRETR Index

6

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

151

 

0

 

(1)

 

0

 

(1)

Total Swap Agreements

$

0

$

(22)

$

4

$

(26)

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

26,757

$

0

$

0

$

26,757

 

Short-Term Instruments

 

Mutual Funds

 

0

 

165

 

0

 

165

 

 

$

26,757

$

165

$

0

$

26,922

 

Investments in Affiliates, at Value

Mutual Funds

 

1,206

 

0

 

0

 

1,206

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

1,480

 

0

 

0

 

1,480

 

 

$

2,686

$

0

$

0

$

2,686

 

Total Investments

$

29,443

$

165

$

0

$

29,608

 

Financial Derivative Instruments - Assets

Over the counter

$

0

$

4

$

0

$

4

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(26)

$

0

$

(26)

 

Total Financial Derivative Instruments

$

0

$

(22)

$

0

$

(22)

 

Totals

$

29,443

$

143

$

0

$

29,586

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend 2070 Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 90.8% ¤

 

 

 

 

MUTUAL FUNDS 37.8%

 

 

 

 

Vanguard Developed Markets Index Fund 'Admiral'

 

46,696

$

763

Vanguard Emerging Markets Stock Index Fund 'Admiral'

 

6,939

 

260

Vanguard Small-Cap Index Fund 'Admiral'

 

1,302

 

138

Total Mutual Funds (Cost $1,123)

 

 

 

1,161

EXCHANGE-TRADED FUNDS 53.0%

 

 

 

 

Vanguard S&P 500 ETF

 

3,173

 

1,631

Total Exchange-Traded Funds (Cost $1,707)

 

 

 

1,631

Total Investments in Securities (Cost $2,830)

 

 

 

2,792

INVESTMENTS IN AFFILIATES 7.3%

 

 

 

 

MUTUAL FUNDS (a) 4.1%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

1,642

 

9

PIMCO Income Fund

 

923

 

10

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

408

 

4

PIMCO Long-Term Real Return Fund

 

1,963

 

24

PIMCO Long-Term U.S. Government Fund

 

1,597

 

23

PIMCO Real Return Fund

 

3,278

 

34

PIMCO Total Return Fund

 

2,645

 

23

Total Mutual Funds (Cost $124)

 

 

 

127

SHORT-TERM INSTRUMENTS 3.2%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 3.2%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

10,306

 

100

Total Short-Term Instruments (Cost $100)

 

 

 

100

Total Investments in Affiliates (Cost $224)

 

 

 

227

Total Investments 98.1% (Cost $3,054)

 

 

$

3,019

Financial Derivative Instruments (b) (0.0)%(Cost or Premiums, net $0)

 

 

 

(1)

Other Assets and Liabilities, net 1.9%

 

 

 

59

Net Assets 100.0%

 

 

$

3,077

Schedule of Investments PIMCO REALPATH® Blend 2070 Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Institutional Class Shares of each Fund.

(b)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

JPM

Receive

FNRETR Index

5

5.220% (FEDL01 plus a specified spread)

Monthly

09/03/2025

$

125

$

0

$

(1)

$

0

$

(1)

 

Receive

BERYTR Index

64

0.000%

Monthly

02/17/2026

 

32

 

0

 

0

 

0

 

0

Total Swap Agreements

$

0

$

(1)

$

0

$

(1)

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

Investments in Securities, at Value

Mutual Funds

$

1,161

$

0

$

0

$

1,161

 

Exchange-Traded Funds

 

1,631

 

0

 

0

 

1,631

 

 

$

2,792

$

0

$

0

$

2,792

 

Investments in Affiliates, at Value

Mutual Funds

 

127

 

0

 

0

 

127

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

100

 

0

 

0

 

100

 

 

$

227

$

0

$

0

$

227

 

Total Investments

$

3,019

$

0

$

0

$

3,019

 

Financial Derivative Instruments - Liabilities

Over the counter

$

0

$

(1)

$

0

$

(1)

 

Total Financial Derivative Instruments

$

0

$

(1)

$

0

$

(1)

 

Totals

$

3,019

$

(1)

$

0

$

3,018

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Schedule of Investments PIMCO REALPATH® Blend Income Fund

March 31, 2025 (Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS, UNITS AND OUNCES, IF ANY)

 

 

SHARES

 

MARKET
VALUE
(000s)

INVESTMENTS IN SECURITIES 34.9% ¤

 

 

 

 

MUTUAL FUNDS 34.5%

 

 

 

 

Vanguard Developed Markets Index Fund 'Institutional'

 

3,552,893

$

58,125

Vanguard Emerging Markets Stock Index Fund 'Institutional'

 

716,314

 

20,429

Vanguard Institutional Index Fund 'Institutional'

 

338,190

 

154,221

Vanguard Small-Cap Index Fund 'Institutional'

 

50,042

 

5,316

Total Mutual Funds (Cost $168,370)

 

 

 

238,091

SHORT-TERM INSTRUMENTS 0.4%

 

 

 

 

MUTUAL FUNDS 0.1%

 

 

 

 

State Street Institutional U.S. Government Money Market Fund, Premier Class

4.400% (d)

 

284,086

 

284

 

 

PRINCIPAL
AMOUNT
(000s)

 

 

U.S. TREASURY BILLS 0.3%

 

 

 

 

4.286% due 05/22/2025 - 06/05/2025 (a)(b)(g)

$

2,353

 

2,337

Total Short-Term Instruments (Cost $2,621)

 

 

 

2,621

Total Investments in Securities (Cost $170,991)

 

 

 

240,712

 

 

SHARES

 

 

INVESTMENTS IN AFFILIATES 64.5%

 

 

 

 

MUTUAL FUNDS (c) 60.4%

 

 

 

 

PIMCO Emerging Markets Local Currency and Bond Fund

 

3,974,386

 

22,853

PIMCO High Yield Fund

 

781,563

 

6,237

PIMCO Income Fund

 

7,334,101

 

78,475

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

2,039,447

 

20,088

PIMCO Long-Term Real Return Fund

 

5,391,093

 

65,394

PIMCO Long-Term U.S. Government Fund

 

3,990,646

 

56,907

PIMCO Real Return Fund

 

4,092,645

 

42,400

PIMCO Total Return Fund

 

14,380,416

 

124,822

Total Mutual Funds (Cost $437,570)

 

 

 

417,176

SHORT-TERM INSTRUMENTS 4.1%

 

 

 

 

CENTRAL FUNDS USED FOR CASH MANAGEMENT PURPOSES 4.1%

 

 

 

 

PIMCO Short-Term Floating NAV Portfolio III

 

2,883,656

 

28,069

Total Short-Term Instruments (Cost $28,058)

 

 

 

28,069

Total Investments in Affiliates (Cost $465,628)

 

 

 

445,245

Total Investments 99.4% (Cost $636,619)

 

 

$

685,957

Financial Derivative Instruments (e)(f) 0.1%(Cost or Premiums, net $856)

 

 

 

444

Other Assets and Liabilities, net 0.5%

 

 

 

3,800

Net Assets 100.0%

 

 

$

690,201

        

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Schedule of Investments PIMCO REALPATH® Blend Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

 

NOTES TO SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

(a)

Coupon represents a weighted average yield to maturity.

(b)

Zero coupon security.

(c)

Institutional Class Shares of each Fund.

(d)

Coupon represents a 7-Day Yield.

(e)

FINANCIAL DERIVATIVE INSTRUMENTS: EXCHANGE-TRADED OR CENTRALLY CLEARED

PURCHASED OPTIONS:

OPTIONS ON INDEXES

Description

 

 

Strike
Value

Expiration
Date

 

# of
Contracts

 

Notional Amount

 

Cost

 

Market
Value

Put - CBOE S&P 500

 

$

4,500.000

06/20/2025

 

69

$

7

$

432

$

122

Put - CBOE S&P 500

 

 

4,825.000

09/19/2025

 

60

 

6

 

662

 

428

Total Purchased Options

$

1,094

$

550

WRITTEN OPTIONS:

OPTIONS ON INDEXES

Description

 

 

Strike
Value

Expiration
Date

 

# of
Contracts

 

Notional Amount

 

Premiums
(Received)

 

Market
Value

Put - CBOE S&P 500

 

$

3,825.000

09/19/2025

 

60

$

6

$

(238)

$

(124)

Total Written Options

$

(238)

$

(124)

(f)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

SWAP AGREEMENTS:

TOTAL RETURN SWAPS ON INDEXES

 

Swap Agreements, at Value

Counterparty

Pay/Receive(1)

Underlying
Reference

# of Units

Financing Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/
(Depreciation)

 

Asset

 

Liability

GST

Receive

BERYTR Index

27,377

4.350%

Monthly

02/17/2026

$

13,701

$

0

$

182

$

182

$

0

MYI

Receive

FNRETR Index

68

4.730% (FEDL01 plus a specified spread)

Monthly

04/02/2025

 

1,769

 

0

 

(70)

 

0

 

(70)

 

Receive

FNRETR Index

347

4.750% (FEDL01 plus a specified spread)

Monthly

05/07/2025

 

8,699

 

0

 

(33)

 

0

 

(33)

 

Receive

FNRETR Index

578

4.930% (FEDL01 plus a specified spread)

Monthly

07/09/2025

 

14,491

 

0

 

(58)

 

0

 

(58)

 

Receive

FNRETR Index

22

5.130% (FEDL01 plus a specified spread)

Monthly

09/03/2025

 

551

 

0

 

(3)

 

0

 

(3)

Total Swap Agreements

$

0

$

18

$

182

$

(164)

(g)

Securities with an aggregate market value of $1,284 have been pledged as collateral for financial derivative instruments as governed by International Swaps and Derivatives Association, Inc. master agreements as of March 31, 2025.

(1)

Receive represents that the Fund receives payments for any positive net return on the underlying reference. The Fund makes payments for any negative net return on such underlying reference. Pay represents that the Fund receives payments for any negative net return on the underlying reference. The Fund makes payments for any positive net return on such underlying reference.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of March 31, 2025 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 03/31/2025

        

 

 

 

 

 

Schedule of Investments PIMCO REALPATH® Blend Income Fund (Cont.)

March 31, 2025 (Unaudited)

 

Investments in Securities, at Value

Mutual Funds

$

238,091

$

0

$

0

$

238,091

 

Short-Term Instruments

 

Mutual Funds

 

0

 

284

 

0

 

284

 

 

U.S. Treasury Bills

 

0

 

2,337

 

0

 

2,337

 

 

$

238,091

$

2,621

$

0

$

240,712

 

Investments in Affiliates, at Value

Mutual Funds

 

417,176

 

0

 

0

 

417,176

 

Short-Term Instruments

 

Central Funds Used for Cash Management Purposes

 

28,069

 

0

 

0

 

28,069

 

 

$

445,245

$

0

$

0

$

445,245

 

Total Investments

$

683,336

$

2,621

$

0

$

685,957

 

Financial Derivative Instruments - Assets

Exchange-traded or centrally cleared

 

0

 

550

 

0

 

550

 

Over the counter

 

0

 

182

 

0

 

182

 

 

$

0

$

732

$

0

$

732

 

Financial Derivative Instruments - Liabilities

Exchange-traded or centrally cleared

 

0

 

(124)

 

0

 

(124)

 

Over the counter

 

0

 

(164)

 

0

 

(164)

 

 

$

0

$

(288)

$

0

$

(288)

 

Total Financial Derivative Instruments

$

0

$

444

$

0

$

444

 

Totals

$

683,336

$

3,065

$

0

$

686,401

 

 

There were no significant transfers into or out of Level 3 during the period ended March 31, 2025.

 

Notes to Financial Statements 

 

1. INVESTMENT VALUATION AND FAIR VALUE MEASUREMENTS

(a) Investment Valuation Policies The net asset value (“NAV”) of a Fund’s shares, or each of their respective share classes, as applicable, is determined by dividing the total value of portfolio investments and other assets attributable to the Fund or class, less any liabilities, as applicable, by the total number of shares outstanding.

 

On each day that the New York Stock Exchange (“NYSE”) is open, each Fund’s shares are ordinarily valued as of the close of regular trading (normally 4:00 p.m., Eastern time) (“NYSE Close”). Information that becomes known to the Funds or their agents after the time as of which NAV has been calculated on a particular day will not generally be used to retroactively adjust the price of a security or the NAV determined earlier that day. If regular trading on the NYSE closes earlier than scheduled, each Fund may calculate its NAV as of the earlier closing time or calculate its NAV as of the NYSE Close for that day. Each Fund generally does not calculate its NAV on days on which the NYSE is not open for business. If the NYSE is closed on a day it would normally be open for business, each Fund may calculate its NAV as of the NYSE Close for such day or such other time that each Fund may determine.

 

For purposes of calculating NAV, portfolio securities and other assets for which market quotations are readily available are valued at market value. A market quotation is readily available only when that quotation is a quoted price (unadjusted) in active markets for identical investments that a Fund can access at the measurement date, provided that a quotation will not be readily available if it is not reliable. Market value is generally determined on the basis of official closing prices or the last reported sales prices. The Funds will normally use pricing data for domestic equity securities received shortly after the NYSE Close and do not normally take into account trading, clearances or settlements that take place after the NYSE Close. A foreign (non-U.S.) equity security traded on a foreign exchange or on more than one exchange is typically valued using pricing information from

the exchange considered by the Pacific Investment Management Company LLC (“PIMCO” or “Manager”) to be the primary exchange. If market value pricing is used, a foreign (non-U.S.) equity security will be valued as of the close of trading on the foreign exchange or the NYSE Close if the NYSE Close occurs before the end of trading on the foreign exchange.

 

Investments for which market quotations are not readily available are valued at fair value as determined in good faith pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended (the “Act”). As a general principle, the fair value of a security or other asset is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Pursuant to Rule 2a-5, the Board of Trustees has designated PIMCO as the valuation designee (“Valuation Designee”) for each Fund to perform the fair value determination relating to all Fund investments. PIMCO may carry out its designated responsibilities as Valuation Designee through various teams and committees. The Valuation Designee’s policies and procedures govern the Valuation Designee’s selection and application of methodologies for determining and calculating the fair value of Fund portfolio investments. The Valuation Designee may value Fund portfolio securities for which market quotations are not readily available and other Fund assets utilizing inputs from pricing services, quotation reporting systems, valuation agents and other third-party sources (together, “Pricing Sources”).

 

Domestic and foreign (non-U.S.) fixed income securities, non-exchange traded derivatives and equity options are normally valued on the basis of quotes obtained from brokers and dealers or Pricing Sources using data reflecting the earlier closing of the principal markets for those securities. Prices obtained from Pricing Sources may be based on, among other things, information provided by market makers or estimates of market values obtained from yield data relating to investments or securities with similar characteristics. Certain fixed income securities purchased on a delayed-delivery basis are marked to market daily until settlement at the forward settlement date. Common stocks, exchange-traded funds (“ETFs”), exchange-traded notes and financial derivative instruments, such as futures contracts, rights and warrants, or options on futures that are traded on a national securities exchange, are stated at the last reported sale or settlement price on the day of valuation. Exchange-traded options, except equity options, futures and options on futures are valued at the settlement price determined by the relevant exchange. Swap agreements are valued on the basis of bid quotes obtained from brokers and dealers or market-based prices supplied by Pricing Sources. With respect to any portion of a Fund’s assets that are invested in one or more open-end management investment companies (other than ETFs), a Fund’s NAV will be calculated based on the NAVs of such investments. Open-end management investment companies may include affiliated funds.

If a foreign (non-U.S.) equity security’s value has materially changed after the close of the security’s primary exchange or principal market but before the NYSE Close, the security may be valued at fair value. Foreign (non-U.S.) equity securities that do not trade when the NYSE is open are also valued at fair value. With respect to foreign (non-U.S.) equity securities, a Fund may determine the fair value of investments based on information provided by Pricing Sources, which may recommend fair value or adjustments with reference to other securities, indexes or assets. In considering whether fair valuation is required and in determining fair values, the Valuation Designee may, among other things, consider significant events (which may be considered to include changes in the value of U.S. securities or securities indexes) that occur after the close of the relevant market and before the NYSE Close. A Fund may utilize modeling tools provided by third-party vendors to determine fair values of foreign (non-U.S.) securities. For these purposes, unless otherwise determined by the Valuation Designee, any movement in the applicable reference index or instrument (“zero trigger”) between the earlier close of the applicable foreign market and the NYSE Close may be deemed to be a significant event, prompting the application of the pricing model (effectively resulting in daily fair valuations). Foreign exchanges may permit trading in foreign (non-U.S.) equity securities on days when the Trust is not open for business, which may result in a Fund's portfolio investments being affected when shareholders are unable to buy or sell shares.

 

Investments valued in currencies other than the U.S. dollar are converted to the U.S. dollar using exchange rates obtained from Pricing Sources. As a result, the value of such investments and, in turn, the NAV of a Fund's shares may be affected by changes in the value of currencies in relation to the U.S. dollar. The value of investments traded in markets outside the United States or denominated in currencies other than the U.S. dollar may be affected significantly on a day that the Trust is not open for business. As a result, to the extent that a Fund holds foreign (non-U.S.) investments, the value of those investments may change at times when shareholders are unable to buy or sell shares and the value of such investments will be reflected in each Fund's next calculated NAV.

 

Fair valuation may require subjective determinations about the value of a security. While the Trust’s and Valuation Designee's policies and procedures are intended to result in a calculation of a Fund's NAV that fairly reflects security values as of the time of pricing, the Trust cannot ensure that fair values accurately reflect the price that a Fund could obtain for a security if it were to dispose of that security as of the time of pricing (for instance, in a forced or distressed sale). The prices used by a Fund may differ from the value that would be realized if the securities were sold. The Funds' use of fair valuation may also help to deter “stale price arbitrage” as discussed under the “Abusive Trading Practices” section in each Fund's prospectus.

 

Under certain circumstances, the per share NAV of a class of a Fund’s shares may be different from the per share NAV of another class of shares as a result of the different daily expense accruals applicable to each class of shares.

 

(b) Fair Value Hierarchy U.S. GAAP describes fair value as the price that a Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. It establishes a fair value hierarchy that prioritizes inputs to valuation methods and requires disclosure of the fair value hierarchy, separately for each major category of assets and liabilities, that segregates fair value measurements into levels (Level 1, 2 or 3). The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Levels 1, 2 and 3 of the fair value hierarchy are defined as follows:

 

 

Notes to Financial Statements (Cont.)

 

 

• Level 1 — Quoted prices (unadjusted) in active markets or exchanges for identical assets and liabilities.

 

• Level 2 — Significant other observable inputs, which may include, but are not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market corroborated inputs.

 

• Level 3 — Significant unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available, which may include assumptions made by the Valuation Designee that are used in determining the fair value of investments.

 

In accordance with the requirements of U.S. GAAP, the amounts of transfers into and out of Level 3, if material, are disclosed in the Notes to Schedule of Investments for each respective Fund.

 

For fair valuations using significant unobservable inputs, U.S. GAAP requires a reconciliation of the beginning to ending balances for reported fair values that presents changes attributable to realized gain (loss), unrealized appreciation (depreciation), purchases and sales, accrued discounts (premiums), and transfers into and out of the Level 3 category during the period. The end of period value is used for the transfers between Levels of a Fund’s assets and liabilities. Additionally, U.S. GAAP requires quantitative information regarding the significant unobservable inputs used in the determination of fair value of assets or liabilities categorized as Level 3 in the fair value hierarchy. In accordance with the requirements of U.S. GAAP, a fair value hierarchy and, if material, a Level 3 reconciliation and details of significant unobservable inputs, have been included in the Notes to Schedule of Investments for each respective Fund.

 

(c) Valuation Techniques and the Fair Value Hierarchy

Level 1, Level 2 and Level 3 trading assets and trading liabilities, at fair value The valuation methods (or “techniques”) and significant inputs used in determining the fair values of portfolio securities or other assets and liabilities categorized as Level 1, Level 2 and Level 3 of the fair value hierarchy are as follows:

 

Common stocks, ETFs, exchange-traded notes and financial derivative instruments, such as futures contracts, rights and warrants, or options on futures that are traded on a national securities exchange, are stated at the last reported sale or settlement price on the day of valuation. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

 

Investments in registered open-end investment companies (other than ETFs) will be valued based upon the NAVs of such investments and are categorized as Level 1 of the fair value hierarchy. Investments in unregistered open-end investment companies will be calculated based upon the NAVs of such investments and are considered Level 1 provided that the NAVs are observable, calculated daily and are the value at which both purchases and sales will be conducted.

 

Equity exchange-traded options and over the counter financial derivative instruments, such as forward foreign currency contracts and options contracts derive their value from underlying asset prices, indexes, reference rates and other inputs or a combination of these factors. These contracts are normally valued on the basis of quotes obtained from a quotation reporting system, established market makers or Pricing Sources (normally determined as of the NYSE Close). Depending on the product and the terms of the transaction, financial derivative instruments can be valued by Pricing Sources using a series of techniques, including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as quoted prices, issuer details, indexes, bid/ask spreads, interest rates, implied volatilities, yield curves, dividends and exchange rates. Financial derivative instruments that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Centrally cleared swaps and over the counter swaps derive their value from underlying asset prices, indexes, reference rates and other inputs or a combination of these factors. They are valued using a broker-dealer bid quotation or on market-based prices provided by Pricing Sources (normally determined as of the NYSE Close). Centrally cleared swaps and over the counter swaps can be valued by Pricing Sources using a series of techniques, including simulation pricing models. The pricing models may use inputs that are observed from actively quoted markets such as the overnight index swap rate, LIBOR forward rate, interest rates, yield curves and credit spreads. These securities are categorized as Level 2 of the fair value hierarchy.

 

Short-term debt instruments (such as commercial paper, time deposits and certificates of deposit) having a remaining maturity of 60 days or less may be valued at amortized cost, so long as the amortized cost value of such short-term debt instruments is approximately the same as the fair value of the instrument as determined without the use of amortized cost valuation. These securities are categorized as Level 2 or Level 3 of the fair value hierarchy depending on the source of the base price.

 

When a fair valuation method is applied by PIMCO that uses significant unobservable inputs, investments will be priced by a method that the Valuation Designee believes reflects fair value and are categorized as Level 3 of the fair value hierarchy.

 

2. FEDERAL INCOME TAX MATTERS

Each Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code (the “Code”) and distribute all of its taxable income and net realized gains, if applicable, to shareholders. Accordingly, no provision for Federal income taxes has been made.

 

A Fund may be subject to local withholding taxes, including those imposed on realized capital gains. Any applicable foreign capital gains tax is accrued daily based upon net unrealized gains, and may be payable following the sale of any applicable investments.

 

In accordance with U.S. GAAP, the Adviser has reviewed the Funds' tax positions for all open tax years. As of March 31, 2025, the Funds have recorded no liability for net unrecognized tax benefits relating to uncertain income tax positions they have taken or expect to take in future tax returns.

 

The Funds file U.S. federal, state and local tax returns as required. The Funds' tax returns are subject to examination by relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return but which can be extended to six years in certain circumstances. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

 

 

Notes to Financial Statements (Cont.)

 

3. INVESTMENTS IN AFFILIATES

Each Fund eligible to participate in securities lending may invest the cash collateral received for securities out on loan in the PIMCO Government Money Market Fund under the Securities Lending Agreement. PIMCO Government Money Market Fund is considered to be affiliated with the Funds. A copy of each affiliate fund’s shareholder report is available at the U.S. Securities and Exchange Commission ("SEC") website at www.sec.gov, on the Funds’ website at http://www.pimco.com, or upon request, as applicable. The table below shows the Funds’ transactions in and earnings from investments in the affiliated fund for the period ended March 31, 2025 (amounts in thousands):

 

Investments in PIMCO Government Money Market Fund

 

Fund Name

 

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO RAE Emerging Markets Fund

 

 

$

5,565

 

$

117,284

 

$

(103,437)

 

$

 

 

0

 

$

 

 

0

 

$

19,412

 

$

430

 

$

 

0

PIMCO RAE International Fund

 

 

16,688

 

220,915

 

(201,319)

 

0

 

0

 

36,284

 

401

 

0

PIMCO RAE US Fund

 

 

327

 

41,318

 

(25,532)

 

0

 

0

 

16,113

 

187

 

0

PIMCO RAE US Small Fund

 

 

9,797

 

266,941

 

(242,025)

 

0

 

0

 

34,713

 

714

 

0

PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF

 

 

8

 

1

 

(1)

 

0

 

0

 

8

 

0

 

0

 

A zero balance may reflect actual amounts rounding to less than one thousand.

(1) The tax characterization of distributions is determined in accordance with Federal income tax regulations and may contain a return of capital. The actual tax characterization of distributions received is determined at the end of the fiscal year of the affiliated fund.

 

The PIMCO RAE Global and PIMCO RAE Global ex-US Funds may invest in Institutional Class shares of the Underlying PIMCO Funds and may also invest in other affiliated funds, and unaffiliated funds, which may or may not be registered under the Act (together with the Underlying Funds, “Acquired Funds”). The Underlying Funds are considered to be affiliated with the PIMCO RAE Global and PIMCO RAE Global ex-US Funds. The table below shows the transactions in and earnings from investments in the Underlying Funds for the period ended March 31, 2025 (amounts in thousands):

 

PIMCO RAE Global ex-US Fund

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO RAE Emerging Markets Fund

$

27,581

$

4,478

$

(2,680)

$

(29)

$

(1,496)

$

27,854

$

1,398

$

252

PIMCO RAE International Fund

 

79,469

 

8,698

 

(10,220)

 

(2,242)

 

2,312

 

78,017

 

3,440

 

3,829

Totals

$

107,050

$

13,176

$

(12,900)

$

(2,271)

$

816

$

105,871

$

4,838

$

4,081

 

A zero balance may reflect actual amounts rounding to less than one thousand.

(1) The tax characterization of distributions is determined in accordance with Federal income tax regulations and may contain a return of capital. The actual tax characterization of distributions received is determined at the end of the fiscal year of the affiliated fund, unless otherwise advise on IRS Form 1099-DIV.

 

The PIMCO REALPATH® Blend Funds seek to achieve its investment objective by investing under normal circumstances substantially all of its assets in Institutional Class or Class M shares of any funds of the Trust and PIMCO Funds, and in other affiliated funds, including funds of PIMCO ETF Trust, except funds of funds (“Underlying PIMCO Funds”), and unaffiliated funds that are registered under the Act (collectively, “Acquired Funds”). The Underlying PIMCO Funds are considered to be affiliated with the Funds. Each Fund may invest in the PIMCO Short Asset Portfolio and the PIMCO Short-Term Floating NAV Portfolio III (“Central Funds”) to the extent permitted by the Act, rules thereunder or exemptive relief therefrom. The Central Funds are registered investment companies created for use solely by the series of the Trust and other series of registered investment companies advised by the Adviser, in connection with their cash management activities. The main investments of the Central Funds are money market and short maturity fixed income instruments. The Central Funds may incur expenses related to their investment activities, but do not pay Investment Advisory Fees or Supervisory and Administrative Fees to the Adviser. The Central Funds are considered to be affiliated with the Funds. The tables below show the Funds' transactions in and earnings from investments in Underlying PIMCO Funds or Central Funds for the period ended March 31, 2025 (amounts in thousands):

 

PIMCO REALPATH® Blend 2030 Fund

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

16,090

$

1,721

$

(2,284)

$

(136)

$

448

$

15,839

$

888

$

0

PIMCO High Yield Fund

 

4,102

 

191

 

(355)

 

8

 

19

 

3,965

 

193

 

0

PIMCO Income Fund

 

45,922

 

4,283

 

(7,564)

 

(678)

 

1,637

 

43,600

 

2,114

 

0

 

 

 

Notes to Financial Statements (Cont.)

 

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

11,223

 

895

 

(1,613)

 

(118)

 

167

 

10,554

 

382

 

66

PIMCO Long-Term Real Return Fund

 

51,769

 

7,153

 

(7,652)

 

(3,454)

 

4,298

 

52,114

 

1,353

 

0

PIMCO Long-Term U.S. Government Fund

 

46,869

 

6,902

 

(7,294)

 

(1,905)

 

2,704

 

47,276

 

1,192

 

0

PIMCO Real Return Fund

 

24,266

 

6,091

 

(2,942)

 

(320)

 

1,314

 

28,409

 

487

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

31,153

 

70,952

 

(71,000)

 

10

 

6

 

31,121

 

1,064

 

0

PIMCO Total Return Fund

 

67,957

 

6,393

 

(12,391)

 

(1,592)

 

3,135

 

63,502

 

2,323

 

0

Totals

$

299,351

$

104,581

$

(113,095)

$

(8,185)

$

13,728

$

296,380

$

9,996

$

66

 

PIMCO REALPATH® Blend 2035 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

13,265

$

1,808

$

(2,321)

$

(151)

$

374

$

12,975

$

747

$

0

PIMCO High Yield Fund

 

2,964

 

144

 

0

 

0

 

17

 

3,125

 

145

 

0

PIMCO Income Fund

 

35,765

 

4,516

 

(5,656)

 

(349)

 

1,099

 

35,375

 

1,684

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

8,359

 

336

 

(959)

 

(72)

 

112

 

7,776

 

288

 

51

PIMCO Long-Term Real Return Fund

 

40,762

 

6,630

 

(6,099)

 

(1,747)

 

2,365

 

41,911

 

1,080

 

0

PIMCO Long-Term U.S. Government Fund

 

34,356

 

6,600

 

(5,069)

 

(928)

 

1,481

 

36,440

 

898

 

0

PIMCO Real Return Fund

 

18,981

 

5,407

 

(2,002)

 

(220)

 

1,007

 

23,173

 

390

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

32,876

 

78,784

 

(77,200)

 

26

 

(7)

 

34,479

 

1,194

 

0

PIMCO Total Return Fund

 

54,550

 

6,255

 

(9,097)

 

(966)

 

2,202

 

52,944

 

1,902

 

0

Totals

$

241,878

$

110,480

$

(108,403)

$

(4,407)

$

8,650

$

248,198

$

8,328

$

51

 

PIMCO REALPATH® Blend 2040 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

9,633

$

541

$

(713)

$

(34)

$

190

$

9,617

$

542

$

0

PIMCO High Yield Fund

 

1,402

 

68

 

0

 

0

 

8

 

1,478

 

69

 

0

PIMCO Income Fund

 

19,750

 

2,716

 

(2,540)

 

(137)

 

565

 

20,354

 

950

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

6,334

 

254

 

(740)

 

(39)

 

66

 

5,875

 

217

 

38

PIMCO Long-Term Real Return Fund

 

24,640

 

4,618

 

(2,964)

 

(455)

 

848

 

26,687

 

671

 

0

PIMCO Long-Term U.S. Government Fund

 

18,523

 

2,476

 

(2,551)

 

(462)

 

743

 

18,729

 

477

 

0

PIMCO Real Return Fund

 

11,510

 

3,062

 

(754)

 

(98)

 

567

 

14,287

 

239

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

28,752

 

69,323

 

(69,600)

 

26

 

(10)

 

28,491

 

1,033

 

0

PIMCO Total Return Fund

 

32,522

 

4,035

 

(5,218)

 

(505)

 

1,240

 

32,074

 

1,154

 

0

Totals

$

153,066

$

87,093

$

(85,080)

$

(1,704)

$

4,217

$

157,592

$

5,352

$

38

 

PIMCO REALPATH® Blend 2045 Fund

 

 

 

Notes to Financial Statements (Cont.)

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

6,555

$

1,573

$

(387)

$

(22)

$

148

$

7,867

$

400

$

0

PIMCO High Yield Fund

 

152

 

7

 

0

 

0

 

1

 

160

 

7

 

0

PIMCO Income Fund

 

8,677

 

1,113

 

(833)

 

5

 

187

 

9,149

 

424

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

3,966

 

166

 

0

 

0

 

14

 

4,146

 

141

 

25

PIMCO Long-Term Real Return Fund

 

12,330

 

2,007

 

(746)

 

(220)

 

438

 

13,809

 

342

 

0

PIMCO Long-Term U.S. Government Fund

 

12,647

 

2,361

 

(1,429)

 

(311)

 

548

 

13,816

 

335

 

0

PIMCO Real Return Fund

 

8,461

 

2,624

 

0

 

0

 

372

 

11,457

 

182

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

24,861

 

68,585

 

(64,100)

 

18

 

(3)

 

29,361

 

992

 

0

PIMCO Total Return Fund

 

19,427

 

2,640

 

(2,775)

 

(395)

 

862

 

19,759

 

700

 

0

Totals

$

97,076

$

81,076

$

(70,270)

$

(925)

$

2,567

$

109,524

$

3,523

$

25

 

PIMCO REALPATH® Blend 2050 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

2,412

$

388

$

0

$

0

$

45

$

2,845

$

146

$

0

PIMCO Income Fund

 

5,134

 

247

 

(318)

 

4

 

105

 

5,172

 

249

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

2,269

 

95

 

0

 

0

 

8

 

2,372

 

81

 

14

PIMCO Long-Term Real Return Fund

 

6,638

 

622

 

0

 

0

 

97

 

7,357

 

184

 

0

PIMCO Long-Term U.S. Government Fund

 

7,288

 

793

 

0

 

0

 

112

 

8,193

 

196

 

0

PIMCO Real Return Fund

 

4,712

 

2,054

 

0

 

0

 

199

 

6,965

 

104

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

20,965

 

72,691

 

(63,100)

 

16

 

(4)

 

30,568

 

897

 

0

PIMCO Total Return Fund

 

12,030

 

1,405

 

(1,500)

 

(250)

 

539

 

12,224

 

434

 

0

Totals

$

61,448

$

78,295

$

(64,918)

$

(230)

$

1,101

$

75,696

$

2,291

$

14

 

PIMCO REALPATH® Blend 2055 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

1,262

$

73

$

0

$

0

$

20

$

1,355

$

74

$

0

PIMCO Income Fund

 

3,376

 

161

 

(233)

 

3

 

69

 

3,376

 

163

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

1,046

 

44

 

0

 

0

 

4

 

1,094

 

37

 

7

PIMCO Long-Term Real Return Fund

 

3,953

 

504

 

0

 

0

 

64

 

4,521

 

111

 

0

PIMCO Long-Term U.S. Government Fund

 

3,709

 

379

 

0

 

0

 

56

 

4,144

 

99

 

0

PIMCO Real Return Fund

 

3,259

 

1,815

 

0

 

0

 

146

 

5,220

 

75

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

17,828

 

60,466

 

(52,000)

 

5

 

4

 

26,303

 

770

 

0

PIMCO Total Return Fund

 

7,674

 

1,311

 

(1,312)

 

(235)

 

428

 

7,866

 

281

 

0

Totals

$

42,107

$

64,753

$

(53,545)

$

(227)

$

791

$

53,879

$

1,610

$

7

 

PIMCO REALPATH® Blend 2060 Fund

 

 

 

 

Notes to Financial Statements (Cont.)

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

482

$

27

$

0

$

0

$

8

$

517

$

28

$

0

PIMCO Income Fund

 

919

 

238

 

(181)

 

2

 

19

 

997

 

47

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

235

 

10

 

0

 

0

 

1

 

246

 

8

 

2

PIMCO Long-Term Real Return Fund

 

1,206

 

127

 

0

 

0

 

17

 

1,350

 

34

 

0

PIMCO Long-Term U.S. Government Fund

 

1,174

 

126

 

0

 

0

 

14

 

1,314

 

32

 

0

PIMCO Real Return Fund

 

1,115

 

784

 

0

 

0

 

49

 

1,948

 

27

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

8,534

 

27,617

 

(26,400)

 

4

 

(1)

 

9,754

 

319

 

0

PIMCO Total Return Fund

 

2,230

 

475

 

(442)

 

(34)

 

92

 

2,321

 

83

 

0

Totals

$

15,895

$

29,404

$

(27,023)

$

(28)

$

199

$

18,447

$

578

$

2

 

PIMCO REALPATH® Blend 2065 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

54

$

35

$

0

$

0

$

1

$

90

$

3

$

0

PIMCO Income Fund

 

77

 

50

 

(38)

 

0

 

2

 

91

 

4

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

21

 

16

 

0

 

0

 

0

 

37

 

1

 

0

PIMCO Long-Term Real Return Fund

 

137

 

110

 

(26)

 

(2)

 

7

 

226

 

5

 

0

PIMCO Long-Term U.S. Government Fund

 

129

 

105

 

(22)

 

(2)

 

6

 

216

 

4

 

0

PIMCO Real Return Fund

 

136

 

215

 

(26)

 

0

 

8

 

333

 

4

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

1,038

 

7,741

 

(7,300)

 

1

 

0

 

1,480

 

42

 

0

PIMCO Total Return Fund

 

174

 

121

 

(88)

 

1

 

5

 

213

 

7

 

0

Totals

$

1,766

$

8,393

$

(7,500)

$

(2)

$

29

$

2,686

$

70

$

0

 

PIMCO REALPATH® Blend 2070 Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

0

$

9

$

0

$

0

$

0

$

9

$

0

$

0

PIMCO Income Fund

 

0

 

13

 

(3)

 

0

 

0

 

10

 

0

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

0

 

4

 

0

 

0

 

0

 

4

 

0

 

0

PIMCO Long-Term Real Return Fund

 

0

 

23

 

0

 

0

 

1

 

24

 

0

 

0

PIMCO Long-Term U.S. Government Fund

 

0

 

22

 

0

 

0

 

1

 

23

 

0

 

0

PIMCO Real Return Fund

 

0

 

33

 

0

 

0

 

1

 

34

 

0

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

0

 

100

 

0

 

0

 

0

 

100

 

1

 

0

PIMCO Total Return Fund

 

0

 

28

 

(6)

 

0

 

1

 

23

 

1

 

0

Totals

$

0

$

232

$

(9)

$

0

$

4

$

227

$

2

$

0

 

 

 

Notes to Financial Statements (Cont.)

 

PIMCO REALPATH® Blend Income Fund

 

Underlying PIMCO Funds

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Emerging Markets Local Currency and Bond Fund

$

11,142

$

15,716

$

(3,407)

$

(464)

$

(134)

$

22,853

$

809

$

0

PIMCO High Yield Fund

 

3,131

 

3,886

 

(943)

 

24

 

139

 

6,237

 

190

 

0

PIMCO Income Fund

 

39,019

 

52,071

 

(13,217)

 

(1,190)

 

1,792

 

78,475

 

2,372

 

0

PIMCO International Bond Fund (U.S. Dollar-Hedged)

 

9,988

 

12,903

 

(2,830)

 

(227)

 

254

 

20,088

 

443

 

57

PIMCO Long-Term Real Return Fund

 

30,777

 

51,674

 

(8,713)

 

(6,673)

 

(1,671)

 

65,394

 

1,175

 

0

PIMCO Long-Term U.S. Government Fund

 

27,060

 

42,900

 

(8,098)

 

(3,096)

 

(1,859)

 

56,907

 

928

 

0

PIMCO Real Return Fund

 

16,969

 

29,071

 

(4,381)

 

(476)

 

1,217

 

42,400

 

499

 

0

PIMCO Short-Term Floating NAV Portfolio III

 

17,245

 

106,414

 

(95,600)

 

7

 

3

 

28,069

 

725

 

0

PIMCO Total Return Fund

 

62,496

 

85,323

 

(21,853)

 

(3,968)

 

2,824

 

124,822

 

2,799

 

0

Totals

$

217,827

$

399,958

$

(159,042)

$

(16,063)

$

2,565

$

445,245

$

9,940

$

57

 

A zero balance may reflect actual amounts rounding to less than one thousand.

(1) The tax characterization of distributions is determined in accordance with Federal income tax regulations and may contain a return of capital. The actual tax characterization of distributions received is determined at the end of the fiscal year of the affiliated fund, unless otherwise advise on IRS Form 1099-DIV.

 

The PIMCO Dividend and Income Fund may invest in the PIMCO Short Asset Portfolio and the PIMCO Short-Term Floating NAV Portfolio III ("Central Funds") to the extent permitted by the Act, rules thereunder or exemptive relief therefrom. The Central Funds are registered investment companies created for use solely by the series of the Trust and other series of registered investment companies advised by the Adviser, in connection with their cash management activities. The main investments of the Central Funds are money market and short maturity fixed income instruments. The Central Funds may incur expenses related to their investment activities, but do not pay Investment Advisory Fees or Supervisory and Administrative Fees to the Adviser. The Central Funds are considered to be affiliated with the Fund. The table below shows the Fund's transactions in and earnings from investments in the affiliated funds for the period ended March 31, 2025 (amounts in thousands):

 

Investment in PIMCO Short-Term Floating NAV Portfolio III

 

Fund Name

 

Market Value
06/30/2024

 

Purchases at
Cost

 

Proceeds from
Sales

 

Net
Realized
Gain (Loss)

 

Change in
Unrealized
Appreciation
(Depreciation)

 

Market Value
03/31/2025

 

Dividend
Income
(1)

 

Realized Net
Capital
Gain
Distributions
(1)

PIMCO Dividend and Income Fund

$

5,168

$

45,758

$

(49,890)

$

2

$

(1)

$

1,037

$

61

$

0

PIMCO RAE Emerging Markets Fund

 

0

 

424,132

 

(413,203)

 

7

 

(1)

 

10,935

 

365

 

0

PIMCO RAE International Fund

 

0

 

82,742

 

(82,730)

 

1

 

0

 

13

 

43

 

0

PIMCO RAE US Fund

 

0

 

106,834

 

(100,600)

 

(1)

 

(1)

 

6,232

 

133

 

0

PIMCO RAE US Small Fund

 

0

 

262,773

 

(252,400)

 

6

 

(1)

 

10,378

 

272

 

0

 

A zero balance may reflect actual amounts rounding to less than one thousand.

(1) The tax characterization of distributions is determined in accordance with Federal income tax regulations and may contain a return of capital. The actual tax characterization of distributions received is determined at the end of the fiscal year of the affiliated fund.

 

 

    

 

 

 

Glossary: (abbreviations that may be used in the preceding statements)       (Unaudited)
                     
Counterparty Abbreviations:                
AZD   Australia and New Zealand Banking Group   DEU   Deutsche Bank Securities, Inc.   MBC   HSBC Bank Plc
BOA   Bank of America N.A.   DUB   Deutsche Bank AG   MYC   Morgan Stanley Capital Services LLC
BOM   Bank of Montreal   FAR   Wells Fargo Bank National Association   MYI   Morgan Stanley & Co. International PLC
BPS   BNP Paribas S.A.   GLM   Goldman Sachs Bank USA   NGF   Nomura Global Financial Products, Inc.
BRC   Barclays Bank PLC   GST   Goldman Sachs International   SCX   Standard Chartered Bank, London
BSH   Banco Santander S.A. - New York Branch   JPM   JP Morgan Chase Bank N.A.   SSB   State Street Bank and Trust Co.
CBK   Citibank N.A.   JPS   J.P. Morgan Securities LLC   UAG   UBS AG Stamford
                     
Currency Abbreviations:                
AUD   Australian Dollar   IDR   Indonesian Rupiah   NZD   New Zealand Dollar
BRL   Brazilian Real   ILS   Israeli Shekel   PEN   Peruvian New Sol
CAD   Canadian Dollar   INR   Indian Rupee   PLN   Polish Zloty
CHF   Swiss Franc   JPY   Japanese Yen   TRY   Turkish New Lira
CNH   Chinese Renminbi (Offshore)   KRW   South Korean Won   TWD   Taiwanese Dollar
EGP   Egyptian Pound   KWD   Kuwaiti Dinar   USD (or $)   United States Dollar
EUR   Euro   MXN   Mexican Peso   ZAR   South African Rand
GBP   British Pound                
                     
Exchange Abbreviations:                
CBOE   Chicago Board Options Exchange   OTC   Over the Counter        
                     
Index/Spread Abbreviations:                
BERYTR   Bloomberg Enhanced Roll Yield Total
Return Index
  CDX.IG   Credit Derivatives Index - Investment Grade   S&P 500   Standard & Poor's 500 Index
BOBL   Bundesobligation, the German word for
federal government bond
  CMBX   Commercial Mortgage-Backed Index   SOFR   Secured Overnight Financing Rate
CAONREPO   Canadian Overnight Repo Rate Average   FEDL01   Federal funds effective rate   SONIO   Sterling Overnight Interbank Average Rate
CDX.EM   Credit Derivatives Index - Emerging
Markets
  FNRETR   FTSE Nareit Equity REITs Total Return Index   UKRPI   United Kingdom Retail Prices Index 
CDX.HY   Credit Derivatives Index - High Yield   MUTKCALM   Tokyo Overnight Average Rate        
                     
Other  Abbreviations:                
ABS   Asset-Backed Security   CMBS   Collateralized Mortgage-Backed Security   PIK   Payment-in-Kind
ADR   American Depositary Receipt   DAC   Designated Activity Company   REIT   Real Estate Investment Trust
BABs   Build America Bonds   EURIBOR   Euro Interbank Offered Rate   SP ADR   Sponsored American Depositary Receipt
BBR   Bank Bill Rate   JIBAR   Johannesburg Interbank Agreed Rate   TBA   To-Be-Announced
BBSW   Bank Bill Swap Reference Rate   JSC   Joint Stock Company   TBD   To-Be-Determined
BRL-CDI   Brazil Interbank Deposit Rate   Lunar   Monthly payment based on 28-day periods.  One
year consists of 13 periods.
  TBD%   Interest rate to be determined when loan
settles or at the time of funding
CLO   Collateralized Loan Obligation   OIS   Overnight Index Swap   TIIE   Tasa de Interés Interbancaria de Equilibrio
"Equilibrium Interbank Interest Rate"