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PCNPCN

$12.77

+0.02
arrow_drop_up0.16%
Market closed·update28 Nov 2025 18:00
Day's Range
12.69-12.78
52-week Range
11.3-14.16

Chart

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Performance

Key Stats

Next Earnings Date
Next Earnings TimeUnknown
Volume187.21K
Average Volume 30d330.8K

AI PCN Summary

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9.26
Valuation (P/E Ratio)
Low P/E suggests potential undervaluation compared to earnings.
📈
0.136
EPS Growth (YoY)
Represents the trailing twelve months EPS, not YoY growth.
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AI Scoreboard

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Overall Analysis

Buy
78

PIMCO Corporate & Income Strategy Fund (PCN) demonstrates a stable dividend yield and generally positive performance over the past year, with strong profitability metrics. However, recent technical indicators suggest a neutral to slightly cautious short-term outlook, with some moving averages indicating potential headwinds. The fund's underlying assets and strategy are geared towards income generation from fixed income securities.

Neutral

Thematic

45

As a fixed-income closed-end fund, PCN is not directly driven by growth themes like AI or cloud infrastructure. Its thematic relevance is tied to the broader interest rate environment, inflation, and the credit markets. The fund's investment in corporate and income-generating securities aligns with themes of yield enhancement and capital preservation in a rising rate environment, though it's less about secular growth.

Strong

Fundamental

75

PCN exhibits strong profitability, evidenced by high net margins, and a sound balance sheet with a manageable debt level. The dividend yield is consistent, and while revenue growth has been volatile in recent years, the fund's core strength lies in its income generation capabilities from its fixed-income portfolio. Valuation metrics such as P/E and P/S are within reasonable historical ranges, suggesting the fund is not excessively overvalued.

Neutral

Technical

58

PCN's price action shows a moderate short-term uptrend, with the price above key moving averages. However, oscillators like RSI are in neutral territory, and the short-term trading ranges indicate some price consolidation. The recent performance metrics are mixed, with a slight positive over 5 days and 1 month, but negative over 6 months and Year-to-Date. The technical outlook is neutral, suggesting neither strong buying nor selling pressure.

FactorScore
Interest Rate Sensitivity50
Credit Market Health60
Income Generation Focus70
Diversification within Fixed Income40
Closed-End Fund Structure30
FactorScore
Valuation80
Profitability95
Growth50
Balance Sheet Health85
Cash Flow40
Dividend Consistency80
FactorScore
Trend Analysis65
Momentum55
Volume Confirmation60
Support & Resistance60
Short-Term Performance65

AI Investing Checklist

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Bullish Points (6)

Valuation chevron_right

Attractive Valuation Metrics

The Price-to-Earnings (P/E) trailing twelve months (TTM) ratio is 9.26, which is relatively low, suggesting the stock may be undervalued compared to its earnings. The dividend yield is 0.10748407, providing income to shareholders. The price is trading within its 52-week range of 11.3-14.36, with the current price of 12.59 being closer to the lower end, potentially indicating a buying opportunity.

Performance chevron_right

Positive Short-Term Performance

The stock has shown positive performance over the 5-day (0.24%) and 1-month (0.42%) periods, indicating recent positive momentum.

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Bearish Points (6)

Performance chevron_right

Negative Medium to Long-Term Performance

The stock has experienced negative performance over the 6-month (-1.4%) and Year-to-Date (YTD) (-0.94%) periods, indicating a recent downtrend. The 1-year performance is positive at 2.06%, but modest.

Technical Analysis chevron_right

Mixed Short-Term Technical Signals

While some short-term moving averages indicate 'Buy', longer-term moving averages (100-day, 200-day) and some oscillators (e.g., Commodity Channel Index on 5m, Williams Percent Range on 30m) are showing 'Sell' or 'Neutral' signals, suggesting potential short-term resistance or uncertainty.

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Calendar

February 2019

1

Next Dividend Date

July 2025

11

Ex-Dividend Date

September 2025

23

Next Earnings Date

EPS Est.
Revenue Est.

H: $

A: $

L: $

Profile

Employees (FY)0.00
ISINUS72200U1007
FIGI-

PIMCO Corporate & Income Strategy Fund is a closed-ended fixed income mutual fund launched and managed by Allianz Global Investors Fund Management LLC. The fund is co-managed by Pacific Investment Management Company LLC. It invests in the fixed income markets of the United States. The fund invests in securities of companies that operate across diversified sectors. It invests in fixed income securities such as treasury bonds, corporate notes, U.S. government agency securities, mortgage backed and asset-backed securities. The fund employs fundamental analysis with a top-down security selection process to create its portfolio. The fund was formerly known as PIMCO Corporate Income Fund. PIMCO Corporate & Income Strategy Fund was formed on October 17, 2001 and is domiciled in the United States.

Seasonals

2025
2024
2023
2022
2021

Debt Level and Coverage

Debt
Free cash flow
Cash & equivalents

Financial Position Analysis

Assets
Liabilities

Ownership

Free Float shares
64M (100.00%)
Closely held shares
0.00 (0.00%)
64M
Free Float shares
64M (100.00%)
Closely held shares
0.00 (0.00%)

Capital Structure

Market cap
805.48M
Debt
102.72M
Minority interest
0.00
Cash & equivalents
519K
Enterprise value
907.69M

Valuation - Ratios

P/E
P/S

Revenue to Profit Conversion

Revenue
72.91M
COGS
72.91M
Gross Profit
0.00
OpEx
259K
Operating Income
0.00
Other & Taxes
-72.65M
Net Income
72.65M

Balance Sheet

Total assets
Total liabilities
Liabilities to assets %

Income Statement

Revenue
Net Income
Net Margin

Cash Flow

Operating Cash Flow
Investing Cash Flow
Financing Cash Flow