Cetera Advisors LLC lowered its stake in Pimco Total Return ETF (NYSEARCA:BOND – Free Report) by 15.1% during the 2nd quarter, according to its most recent Form 13F filing with the SEC. The institutional investor owned 16,521 shares of the exchange traded fund’s stock after selling 2,946 shares during the period. Cetera Advisors LLC’s holdings in Pimco Total Return ETF were worth $1,514,000 as of its most recent filing with the SEC.
Several other institutional investors also recently modified their holdings of BOND. Tranquilli Financial Advisor LLC grew its position in Pimco Total Return ETF by 18.8% during the 2nd quarter. Tranquilli Financial Advisor LLC now owns 12,116 shares of the exchange traded fund’s stock worth $1,110,000 after purchasing an additional 1,915 shares in the last quarter. Assetmark Inc. grew its position in Pimco Total Return ETF by 100.9% during the 1st quarter. Assetmark Inc. now owns 643 shares of the exchange traded fund’s stock worth $60,000 after purchasing an additional 323 shares in the last quarter. Avitas Wealth Management LLC grew its holdings in shares of Pimco Total Return ETF by 3.1% during the 2nd quarter. Avitas Wealth Management LLC now owns 12,529 shares of the exchange traded fund’s stock valued at $1,148,000 after acquiring an additional 378 shares in the last quarter. Private Advisor Group LLC purchased a new position in shares of Pimco Total Return ETF during the 1st quarter valued at $3,952,000. Finally, PFG Investments LLC purchased a new position in shares of Pimco Total Return ETF during the 2nd quarter valued at $222,000.
Pimco Total Return ETF Stock Up 0.1 %
Pimco Total Return ETF stock opened at $88.87 on Tuesday. The company’s fifty day simple moving average is $87.42 and its 200-day simple moving average is $89.75. Pimco Total Return ETF has a 12 month low of $85.10 and a 12 month high of $94.57. The stock has a market cap of $3.56 billion, a P/E ratio of 56.50 and a beta of 0.18.
About Pimco Total Return ETF
The PIMCO Active Bond Exchange-Traded Fund (BOND) is an exchange-traded fund that is based on the Barclays U.S. Aggregate index. The fund is an actively managed portfolio that aims to maintain a consistent level of dividend income by investing in a broad array of fixed income sectors and utilizing income efficient implementation strategies.
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