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PIMCO Dynamic Income Opportunities Fund (V37)

Market Closed
17 Jul, 20:00
XFRA XFRA
11. 23
+0.37
+3.4451%
- Market Cap
1.53% Div Yield
365 Volume
10.86
Previous Close
Add Transaction
Day Range
10.93 11.23
Year Range
9.65 12.9
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Summary

V37 closed today higher at €11.23, an increase of 3.4451% from yesterday's close, completing a monthly increase of 1.9611% or €0.22. Over the past 12 months, V37 stock gained 0.25%.
V37 pays dividends to its shareholders, with the most recent payment made on Jul 01, 2026. The next announced payment will be in In 2 weeks on Aug 03, 2026 for a total of €0.1279.
PIMCO Dynamic Income Opportunities Fund has completed 4 stock splits, with the recent split occurring on Jul 03, 2019.
The company's stock is traded on 3 different exchanges and in various currencies, with the primary listing on NYSE (USD).

V37 Chart

PDO: Dynamic (But Steady) Income In An Uncertain World

PDO: Dynamic (But Steady) Income In An Uncertain World

PIMCO Dynamic Income Opportunities Fund offers an 11.7% yield and trades at a modest 2.3% premium to NAV. PDO provides reliable monthly income, benefiting income-focused investors, especially during periods of equity market volatility and rate stability. Distribution coverage has improved significantly in 2026, with fiscal year-to-date coverage now above 91%, supporting the fund's payout sustainability.

Seekingalpha | 1 day ago
PDO: Near Par, Imperfect Story, Cautious Buy

PDO: Near Par, Imperfect Story, Cautious Buy

PIMCO Dynamic Income Opportunities Fund earns a cautious buy due to its near-par premium and ~12% forward yield despite operational pressures. PDO's coverage remains volatile, with a drifting UNII deficit and leverage at ~39%, but the income engine is not broken and NAV has been stable. The fund's floating rate loan book (~35%) provides some income buffer, yet high leverage and long-duration credit exposures pose structural risks.

Seekingalpha | 1 month ago
PDO: Best For A Normalizing Interest Rate Environment

PDO: Best For A Normalizing Interest Rate Environment

PIMCO Dynamic Income Opportunities Fund still looks attractive, provided rates moderate or decline on any Iran war resolution. PDO and other PIMCO CEFs have increased leverage and extended duration, positioning for declining inflation and rates but increasing NAV sensitivity to interest rate moves. Recent portfolio shifts favor more US government securities and less corporate credit and MBS, reflecting a cautious stance amid tight spreads and macro uncertainty.

Seekingalpha | 1 month ago

PIMCO Dynamic Income Opportunities Fund (V37) FAQ

What is the stock price today?

The current price is €11.23.

On which exchange is it traded?

PIMCO Dynamic Income Opportunities Fund is listed on XFRA.

What is its stock symbol?

The ticker symbol is V37.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 1.53%.

What is its market cap?

As of today, no market cap data is available.

Has PIMCO Dynamic Income Opportunities Fund ever had a stock split?

PIMCO Dynamic Income Opportunities Fund had 4 splits and the recent split was on Jul 03, 2019.

PIMCO Dynamic Income Opportunities Fund Profile

XFRA Exchange
US Country

Overview

The PIMCO Dynamic Income Opportunities Fund is a specialized investment company that focuses on the global credit markets through a closed-end management structure. Established on December 23, 2019, and based in New York, NY, the fund is designed to capitalize on various fixed income sectors by employing a dynamic asset allocation strategy. This approach allows for the tactical adjustment of portfolio holdings to adapt to changing market conditions, with the aim of optimizing returns for investors.

Products and Services

The PIMCO Dynamic Income Opportunities Fund offers a range of financial products and services tailored for investors looking to gain exposure to the global credit markets. These include:

  • Dynamic Asset Allocation - The fund periodically adjusts its investments across multiple fixed income sectors, such as corporate debt, government bonds, and mortgage-backed securities, based on real-time market analysis and forecasts. This strategy is intended to manage risk while seeking to maximize income and capital appreciation.
  • Global Credit Market Investments - By investing in a diversified portfolio of credit instruments around the world, the fund aims to benefit from the global scope of interest rates, currency performance, and economic growth trends. This diversification is intended to provide a steady income stream while mitigating the impact of local market volatility.

Contact Information

Address: 650 Newport Center Drive
Phone: 949 720 6000