Valuation: PCM Fund Inc.

Market Cap 68.91M 59.77M 55.63M 51.12M 96.59M 6.57B 98.14M 655M 257M 3.27B 259M 253M 10.85B P/E 2024
16.4x
P/E 2025 11.2x
Enterprise Value 106M 91.94M 85.58M 78.63M 149M 10.11B 151M 1.01B 396M 5.04B 398M 389M 16.68B EV / Sales 2024
11.8x
EV / Sales 2025 9.41x
Free-Float
100%
Yield 2024
12.9%
Yield 2025 13.7%
1 day+0.45%
1 week+0.36%
1 month+0.18%
3 months-3.44%
6 months-6.66%
Current year-8.63%
1 week 5.55
Extreme 5.55
5.66
1 month 5.55
Extreme 5.55
5.85
Current year 5.48
Extreme 5.48
6.16
1 year 5.48
Extreme 5.48
6.76
3 years 5.48
Extreme 5.48
10.2
5 years 5.48
Extreme 5.48
12.22
10 years 5.48
Extreme 5.48
12.77
Manager TitleAgeSince
President 56 01/05/2019
Compliance Officer 51 01/01/2018
Treasurer 48 01/01/2021
Director TitleAgeSince
Director/Board Member 81 01/04/2008
Director/Board Member 67 29/10/2009
Director/Board Member 73 22/06/2010
Date Insider Type Main position Quantity % Market Cap.
1/9/20 A Buy

Director

1,000 0.0086%
Change 5-day change 1-year change 3-year change Capi.($)
+0.45%+0.36%-11.93%-41.00% 69.28M
-1.61%-0.16%+19.21%+102.99% 14.51B
-1.98%+0.37%+50.16%+126.51% 11.88B
+2.37%+2.53%-10.27%+27.02% 9.04B
-2.10%-0.37%+30.45%+117.21% 7.4B
-0.68%-0.25%-16.75%-16.23% 7.39B
-1.62%-3.80%+14.48%+49.01% 6.27B
-1.43%-1.43%+8.42%+21.41% 4.72B
-1.15%-3.15%+10.26%+6.23% 4.05B
+2.15%+2.77% - - 3.75B
Average -0.56%-0.31%+10.45%+43.68% 6.91B
Weighted average by Cap. -0.86%-0.18%+16.14%+67.65%

Financials

2024 2025
Net sales 12.24M 10.62M 9.88M 9.08M 17.16M 1.17B 17.44M 116M 45.71M 582M 45.98M 44.97M 1.93B 12.14M 10.53M 9.8M 9.01M 17.02M 1.16B 17.29M 115M 45.33M 577M 45.59M 44.59M 1.91B
Net income 5.47M 4.75M 4.42M 4.06M 7.67M 522M 7.79M 52.03M 20.43M 260M 20.55M 20.1M 861M 6.92M 6.01M 5.59M 5.14M 9.71M 660M 9.86M 65.84M 25.85M 329M 26M 25.43M 1.09B
Net Debt 54.83M 47.56M 44.27M 40.68M 76.86M 5.23B 78.09M 521M 205M 2.6B 206M 201M 8.63B 37.09M 32.17M 29.94M 27.51M 51.98M 3.54B 52.82M 353M 138M 1.76B 139M 136M 5.84B
Logo PCM Fund Inc.
PCM Fund, Inc. (the Fund) is a closed-end management investment company. The Fund’s investment objective is to achieve high current income. Capital gain from the disposition of investments is a secondary objective of the Fund. The Fund seeks to achieve its investment objectives by utilizing a dynamic asset allocation strategy among multiple fixed income sectors in the global credit markets, including corporate debt (including, among other things, fixed-, variable- and floating-rate bonds, loans (including, but not limited to, bank and/or other syndicated loans and non-syndicated (private direct) loans), convertible securities and stressed debt securities issued by United States or foreign (non-United States) corporations or other business entities. The Fund may invest in investment grade debt securities and below investment grade debt securities, including securities of stressed, distressed and defaulted issuers. Its investment manager is Pacific Investment Management Company LLC.
Employees
-
Date Price Change Volume
31/07/26 $5.610 +0.45% 19,319
30/07/26 $5.585 +0.45% 8,994
29/07/26 $5.560 -0.36% 22,298
28/07/26 $5.580 -0.18% 42,229
27/07/26 $5.590 -.--% 29,516