Valuation: PCM Fund Inc.

Market Cap 62.69M 54.66M 51.48M 46.88M 87.89M 6.01B 88M 616M 238M 3.06B 235M 230M 9.87B P/E 2025
11.2x
P/E 2026 14.8x
Enterprise Value 95.69M 83.44M 78.58M 71.57M 134M 9.17B 134M 941M 363M 4.67B 359M 351M 15.07B EV / Sales 2025
9.41x
EV / Sales 2026 9.56x
Free-Float
100%
Yield 2025
13.7%
Yield 2026 13.8%
1 day-0.39%
1 week-0.20%
Current month-5.61%
1 month-7.00%
3 months-8.51%
6 months-9.50%
Current year-17.75%
1 week 5.02
Extreme 5.02
5.1
1 month 4.95
Extreme 4.95
5.45
Current year 4.95
Extreme 4.95
6.16
1 year 4.95
Extreme 4.95
6.76
3 years 4.95
Extreme 4.95
9.33
5 years 4.95
Extreme 4.95
11.78
10 years 4.95
Extreme 4.95
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. Importance
9/1/20 Buy

Director

1,000 0.0086%
Change 5-day change 1-year change 3-year change Capi.($)
-0.39%-0.20%-24.51%-44.93% 62.93M
-0.61%+1.45%+15.80%+119.45% 16.01B
-0.69%+5.58%+49.10%+171.19% 13.2B
+1.04%-1.91%-23.08%+24.58% 8.54B
-0.63%+2.45%+27.96%+146.12% 7.83B
-1.39%-1.52%-28.34%-19.08% 6.65B
+2.18%+2.14%+4.78%+21.49% 6.54B
-0.25%+0.90%+11.82%+25.60% 4.85B
+1.75%+2.99% - - 3.89B
-1.29%-2.92%+0.20%+0.15% 3.8B
Average -0.03%-0.41%+3.75%+49.40% 7.14B
Weighted average by Cap. -0.13%+0.11%+12.19%+83.89%

Financials

2025 2026
Net sales 12.14M 10.58M 9.97M 9.08M 17.02M 1.16B 17.04M 119M 46.01M 592M 45.6M 44.59M 1.91B 10.66M 9.29M 8.75M 7.97M 14.94M 1.02B 14.96M 105M 40.39M 520M 40.03M 39.14M 1.68B
Net income 6.92M 6.04M 5.69M 5.18M 9.71M 663M 9.72M 68.09M 26.25M 338M 26.01M 25.43M 1.09B 4.67M 4.07M 3.83M 3.49M 6.55M 447M 6.55M 45.92M 17.7M 228M 17.54M 17.15M 735M
Net Debt 37.09M 32.34M 30.46M 27.74M 52M 3.55B 52.07M 365M 141M 1.81B 139M 136M 5.84B 33.01M 28.78M 27.11M 24.69M 46.28M 3.16B 46.34M 325M 125M 1.61B 124M 121M 5.2B
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
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Date Price Change Volume
21/09/26 USD 5.050 -0.39% 49,004
18/09/26 USD 5.070 -0.39% 55,317
17/09/26 USD 5.090 +1.39% 72,747
16/09/26 USD 5.020 0.00% 97,015
15/09/26 USD 5.020 -0.79% 74,717
-40%: Exceptional extension
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