Milyon USD cinsinden finanslar. Mali yıl Şubat - Ocak'tır.
Breakdown
TTM
06/30/2025
06/30/2024
06/30/2023
06/30/2022
Hasılat
112
111
106
122
25
Hasılat Artışı (YoY)
6%
5%
-13%
388%
--
Satınalma Maliyeti
40
40
46
42
6
Brüt Kâr
72
71
60
79
19
Satış, Genel ve İdari
0
0
0
0
0
Araştırma ve Geliştirme
--
--
--
--
--
İşletme Giderleri
0
0
0
0
0
Diğer Finansman Gelirleri (Giderleri)
17
18
26
--
--
Kâr Öncesi Gelir
89
89
86
-4
-102
Kira Vergisi Gideri
--
--
--
--
--
Net Kâr
89
89
86
-4
-102
Net Income Growth
Kâr Artışı
3%
3%
-2,250%
-96%
--
Dolaşım Daki Hisse Senetleri (Dilüte Edilmiş)
47
46
44
44
44
Hisse Değişimi (Yıllık Üst Üste)
7%
5%
0%
0%
--
EPS (Diluted)
1.89
1.93
1.95
-0.09
-2.33
EPS Artışı
-3%
-1%
-2,267%
-96%
--
Öz sermaye akışı
100
100
87
8
-1,281
Hisse Başı Öz Kaynak Akışı
--
--
--
--
--
Brüt Karşılık
64.28%
63.96%
56.6%
64.75%
76%
Faaliyet Kâr Marjı
64.28%
63.96%
56.6%
64.75%
76%
Kâr Marjı
79.46%
80.18%
81.13%
-3.27%
-408%
Özsermaye Karlılık Oranı
89.28%
90.09%
82.07%
6.55%
-5,124%
EBITDA
--
--
--
--
--
EBITDA Marjinali
--
--
--
--
--
D&A EBITDA için
--
--
--
--
--
Faaliyet Kârı
72
71
60
79
19
Faaliyet Kâr Marjı
64.28%
63.96%
56.6%
64.75%
76%
Verilen Vergi Oranı
--
--
--
--
--
Önemli İstatistikler
Önceki Kapanış
$15.82
Açılış fiyatı
$15.77
Günün Aralığı
$15.77 - $15.85
52 haftalık aralık
$13.63 - $16.56
İşlem hacmi
124.5K
Ort.Hacim
224.3K
EPS (TTM)
1.97
Dividend yield
10.50%
Piyasa Değeri
$721.3M
PAXS nedir?
PIMCO Access Income Fund is a US-based company operating in industry. The company is headquartered in New York City, New York. The company went IPO on 2022-01-27. PIMCO Access Income Fund (the Fund) is a non-diversified, closed-end management investment company. The Fund seeks current income as a primary objective and capital appreciation as a secondary objective. The Fund seeks to achieve its investment objectives by utilizing a dynamic asset allocation strategy among multiple sectors in the global public and private credit markets, including corporate debt, mortgage-related and other asset-backed instruments, government and sovereign debt, taxable municipal bonds and other fixed-, variable- and floating-rate income-producing securities of the United States and foreign issuers, including emerging market issuers and real estate-related investments. The Fund may invest without limitation in investment-grade debt securities and below-investment-grade debt securities, including securities of stressed, distressed, or defaulted issuers. The investment manager of the Fund is Pacific Investment Management Company LLC.