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-650994.500000 -0.0435985 Short RA US N 2 Reverse repurchase N 0.4500000 2022-08-04 578000.000000 USD 659441.740000 USD CDS N N N N/A N/A REVERSE REPO SOCIETE GENERALE REVERSE REPO 000000000 -11802668.000000 PA USD -11814609.820000 -0.7912505 Short RA US N 2 Reverse repurchase N 0.7000000 2022-08-04 13358297.140000 USD 13337202.520000 USD CDS N N N N/A N/A REVERSE REPO SOCIETE GENERALE REVERSE REPO 000000000 -18191681.750000 PA USD -18193804.100000 -1.2184792 Short RA US N 2 Reverse repurchase N 0.7000000 2022-09-24 21018973.190000 USD 20280337.040000 USD CDS N N N N/A N/A REVERSE REPO SOCIETE GENERALE REVERSE REPO 000000000 -186075.000000 PA USD -186096.710000 -0.0124633 Short RA US N 2 Reverse repurchase N 0.7000000 2022-09-24 200000.000000 USD 204108.000000 USD CDS N N N N/A N/A REVERSE REPO TORONTO DOMINIO 000000000 -199750.000000 PA USD -199823.800000 -0.0133826 Short RA US N 2 Reverse repurchase N 0.3800000 2022-08-26 200000.000000 USD 204743.730000 USD CDS N N N N/A N/A REVERSE REPO TORONTO DOMINIO 000000000 -6901351.630000 PA USD -6902954.280000 -0.4623061 Short RA US N 2 Reverse repurchase N 0.3800000 2022-09-09 6666000.000000 USD 7204695.890000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -8888553.290000 PA USD -8926403.700000 -0.5978210 Short RA US N 2 Reverse repurchase N 1.9162500 2020-10-13 18430332.830000 USD 14281385.250000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -3964870.060000 PA USD -3989243.000000 -0.2671684 Short RA US N 2 Reverse repurchase N 2.7662500 2020-10-13 12524080.550000 USD 6390349.880000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -5959895.000000 PA USD -5961749.190000 -0.3992715 Short RA US N 2 Reverse repurchase N 0.7000000 2020-10-15 8356000.000000 USD 6620764.500000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -989362.680000 PA USD -991451.330000 -0.0663997 Short RA US N 2 Reverse repurchase N 1.0000000 2020-10-15 1200000.000000 USD 1318961.570000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -222235.010000 PA USD -222821.460000 -0.0149228 Short RA US N 2 Reverse repurchase N 1.2500000 2020-10-15 319673.140000 USD 320072.730000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -13777609.440000 PA USD -13779752.620000 -0.9228605 Short RA US N 2 Reverse repurchase N 0.7000000 2020-10-26 15263310.000000 USD 17872807.290000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -2788171.000000 PA USD -2788496.290000 -0.1867518 Short RA US N 2 Reverse repurchase N 0.7000000 2020-10-27 3228000.000000 USD 3420142.500000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -11294676.000000 PA USD -11310070.780000 -0.7574604 Short RA US N 2 Reverse repurchase N 0.9000000 2020-11-03 14901761.170000 USD 13752079.220000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -578084.000000 PA USD -578482.230000 -0.0387422 Short RA US N 2 Reverse repurchase N 0.8000000 2020-11-30 908000.000000 USD 826462.280000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -844511.460000 PA USD -844754.260000 -0.0565751 Short RA US N 2 Reverse repurchase N 0.4500000 2020-12-07 900000.000000 USD 992625.970000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -6407799.620000 PA USD -6410932.320000 -0.4293543 Short RA US N 2 Reverse repurchase N 0.8000000 2020-12-08 8439000.000000 USD 8051928.350000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -3880152.700000 PA USD -3892238.720000 -0.2606718 Short RA US N 2 Reverse repurchase N 1.6251300 2021-01-20 7972370.460000 USD 4410890.940000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -3989132.560000 PA USD -4000227.890000 -0.2679041 Short RA US N 2 Reverse repurchase N 1.6150000 2021-02-01 6934606.800000 USD 4508261.390000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -4717790.490000 PA USD -4728884.130000 -0.3167038 Short RA US N 2 Reverse repurchase N 1.5391300 2021-02-03 9579270.030000 USD 7657505.610000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -492678.260000 PA USD -493931.060000 -0.0330797 Short RA US N 2 Reverse repurchase N 1.6060000 2021-02-05 679556.220000 USD 662916.470000 USD PLCMO N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -23183638.000000 PA USD -23204567.670000 -1.5540611 Short RA US N 2 Reverse repurchase N 0.5000000 2022-07-27 24290000.000000 USD 25707215.910000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -800564.010000 PA USD -801055.460000 -0.0536485 Short RA US N 2 Reverse repurchase N 0.6500000 2022-08-27 1729000.000000 USD 1147182.950000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -5039876.250000 PA USD -5041423.210000 -0.3376352 Short RA US N 2 Reverse repurchase N 0.6500000 2022-09-14 6332000.000000 USD 6632770.000000 USD CDS N N N N/A N/A REVERSE REPO WARBURG REVERSE REPO 000000000 -2042361.500000 PA USD -2042840.890000 -0.1368136 Short RA US N 2 Reverse repurchase N 0.6500000 2022-09-18 2657000.000000 USD 2600538.750000 USD CDS N N N N/A N/A REVERSE REPO BANK OF NEW YORK 000000000 -158674.020000 PA USD -158908.060000 -0.0106424 Short RA US N 2 Reverse repurchase N 0.9000000 2020-11-03 794000.000000 USD 129513.310000 USD CDS N N N N/A N/A REVERSE REPO BANK OF NEW YORK 000000000 -823900.000000 PA USD -825028.290000 -0.0552540 Short RA US N 2 Reverse repurchase N 0.8500000 2020-10-05 1070000.000000 USD 1025156.300000 USD CDS N N N N/A N/A REVERSE REPO BANK OF NEW YORK 000000000 -6130637.360000 PA USD -6134315.740000 -0.4108287 Short RA US N 2 Reverse repurchase N 0.8000000 2020-12-04 10833000.000000 USD 5416500.000000 USD CDS N N N N/A N/A REVERSE REPO FIRST BOSTON REVERSE REPO 000000000 -477000.000000 PA USD -477566.440000 -0.0319837 Short RA US N 2 Reverse repurchase N 0.7500000 2022-08-04 600000.000000 USD 599215.610000 USD CDS N N N N/A N/A REVERSE REPO FIRST BOSTON REVERSE REPO 000000000 -1739667.020000 PA USD -1742283.770000 -0.1166846 Short RA US N 2 Reverse repurchase N 0.9500000 2022-08-04 2310890.190000 USD 2313778.800000 USD CDS N N N N/A N/A REVERSE REPO FIRST BOSTON REVERSE REPO 000000000 -388525.630000 PA USD -389110.040000 -0.0260596 Short RA US N 2 Reverse repurchase N 0.9500000 2022-08-04 516098.810000 USD 516743.930000 USD CDS N N N N/A N/A REVERSE REPO FIRST BOSTON REVERSE REPO 000000000 -38212.500000 PA USD -38245.940000 -0.0025614 Short RA US N 2 Reverse repurchase N 0.9000000 2022-08-26 1019000.000000 USD 48402.500000 USD CDS N N N N/A N/A REVERSE REPO NOMURA 000000000 -1356582.000000 PA USD -1357703.060000 -0.0909284 Short RA US N 2 Reverse repurchase N 0.8500000 2022-08-26 1400000.000000 USD 1396444.000000 USD CDS N N N N/A N/A REVERSE REPO NOMURA 000000000 -5724554.630000 PA USD -5731233.280000 -0.3838333 Short RA US N 2 Reverse repurchase N 1.2000000 2022-08-26 6522872.700000 USD 6531026.290000 USD CDS N N N N/A N/A REVERSE REPO NOMURA 000000000 -3687823.490000 PA USD -3688438.130000 -0.2470228 Short RA US N 2 Reverse repurchase N 1.0000000 2020-10-30 3200000.000000 USD 3750190.500000 USD CDS N N N N/A N/A REVERSE REPO NOMURA 000000000 -1834831.850000 PA USD -1835061.200000 -0.1228981 Short RA US N 2 Reverse repurchase N 0.7500000 2020-10-30 2100000.000000 USD 2055375.000000 USD CDS N N N N/A N/A REVERSE REPO NOMURA 000000000 -878212.500000 PA USD -878378.380000 -0.0588269 Short RA US N 2 Reverse repurchase N 0.8500000 2021-03-23 1000000.000000 USD 972500.000000 USD CDS N N N N/A N/A REVERSE REPO STANDARD CHARTERE VAR 1 000000000 -2061185.280000 PA USD -2062012.620000 -0.1380975 Short RA US N 2 Reverse repurchase N 0.8500000 2020-10-16 2400000.000000 USD 2476538.400000 USD CDS N N N N/A N/A REVERSE REPO/REGIONS BANK 000000000 -4683566.640000 PA USD -4687417.570000 -0.3139267 Short RA US N 2 Reverse repurchase N 0.8000000 2020-11-23 4800000.000000 USD 5338656.000000 USD CDS N N N N/A N/A REVERSE REPO/REGIONS BANK 000000000 -1066762.000000 PA USD -1067406.500000 -0.0714866 Short RA US N 2 Reverse repurchase N 0.7500000 2020-10-07 1200815.620000 USD 1311891.060000 USD CDS N N N N/A N/A REVERSE REPO/REGIONS BANK 000000000 -10506053.700000 PA USD -10508154.910000 -0.7037543 Short RA US N 2 Reverse repurchase N 0.8000000 2020-10-27 10954000.000000 USD 11624932.500000 USD CDS N N N N/A N/A BOUGHT GBP/SOLD USD 000000000 1.000000 NC -57483.030000 -0.0038498 N/A DFE GB N 2 Bank of America, National Association B4TYDEB6GKMZO031MB27 1448479.490000 USD 1078000.000000 GBP 2020-10-02 -57483.030000 N N N N/A N/A SOLD EUR/BOUGHT USD 000000000 1.000000 NC 331529.540000 0.0222033 N/A DFE N/A N 2 Bank of America, National Association B4TYDEB6GKMZO031MB27 19596000.000000 EUR 23306855.330000 USD 2020-10-02 331529.540000 N N N N/A N/A SOLD EUR/BOUGHT USD 000000000 1.000000 NC 13606.980000 0.0009113 N/A DFE N/A N 2 Bank of America, National Association B4TYDEB6GKMZO031MB27 1239000.000000 EUR 1466272.250000 USD 2020-10-02 13606.980000 N N N N/A N/A SOLD GBP/BOUGHT USD 000000000 1.000000 NC 81522.690000 0.0054598 N/A DFE GB N 2 Bank of America, National Association B4TYDEB6GKMZO031MB27 2092000.000000 GBP 2780933.260000 USD 2020-10-02 81522.690000 N N N N/A N/A BOUGHT EUR/SOLD USD 000000000 1.000000 NC -125783.690000 -0.0084240 N/A DFE N/A N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 10417547.820000 USD 8778000.000000 EUR 2020-10-02 -125783.690000 N N N N/A N/A BOUGHT EUR/SOLD USD 000000000 1.000000 NC -35018.290000 -0.0023453 N/A DFE N/A N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 2892278.390000 USD 2437000.000000 EUR 2020-10-02 -35018.290000 N N N N/A N/A SOLD EUR/BOUGHT USD 000000000 1.000000 NC 1919322.970000 0.1285413 N/A DFE N/A N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 79011001.000000 EUR 94555753.330000 USD 2020-10-02 1919322.970000 N N N N/A N/A BOUGHT CLP/SOLD USD 000000000 1.000000 NC -19056.310000 -0.0012762 N/A DFE CL N 2 BNP Paribas S.A. N/A 932416.510000 USD 716888430.000000 CLP 2020-10-27 -19056.310000 N N N N/A N/A SOLD RUB/BOUGHT USD 000000000 1.000000 NC 9098.900000 0.0006094 N/A DFE RU N 2 BNP Paribas S.A. N/A 7914454.000000 RUB 110839.710000 USD 2020-10-16 9098.900000 N N N N/A N/A BOMBARDIER INC SNR S* ICE 000000000 1.000000 NC USD -268524.070000 -0.0179836 N/A DCR US N 2 Intercontinental Exchange 5493000F4ZO33MV32P92 BOMBARDIER INC BOMBARDIER INC SR UNSEC REGS Y Single Leg Swap 2024-06-21 0.000000 USD -2138.240000 USD 1100000.000000 USD -266385.830000 N N N N/A N/A BOMBARDIER INC SNR S* ICE 000000000 1.000000 NC USD -157959.160000 -0.0105789 N/A DCR US N 2 Intercontinental Exchange 5493000F4ZO33MV32P92 BOMBARDIER INC BOMBARDIER INC SR UNSEC REGS Y Single Leg Swap 2024-12-21 0.000000 USD -247.480000 USD 600000.000000 USD -157711.680000 N N N ANCESTRYCOM OPERATIONS INC N/A ANCESTRY COM OPERATIONS INC 2019 EXTENDED TERM LOAN B 03280FAK7 192553.220000 PA USD 192593.270000 0.0128984 Long LON CORP US N 2 2026-08-27 Floating 4.4 N N N N N N ANCESTRYCOM OPERATIONS INC N/A ANCESTRY COM OPERATIONS INC TERM LOAN B 03280FAH4 297730.200000 PA USD 297841.850000 0.0199471 Long LON CORP US N 2 2023-10-19 Floating 4.75 N N N N N N N/A N/A BOUGHT PEN/SOLD USD 000000000 1.000000 NC -1587.780000 -0.0001063 N/A DFE PE N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 76657.160000 USD 270523.130000 PEN 2020-10-23 -1587.780000 N N N N/A N/A SOLD GBP/BOUGHT USD 000000000 1.000000 NC 1975975.940000 0.1323355 N/A DFE GB N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 63068000.000000 GBP 83355720.550000 USD 2020-10-02 1975975.940000 N N N N/A N/A SOLD MXN/BOUGHT USD 000000000 1.000000 NC -5524.760000 -0.0003700 N/A DFE MX N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 5192000.000000 MXN 228044.360000 USD 2020-11-17 -5524.760000 N N N N/A N/A SOLD RUB/BOUGHT USD 000000000 1.000000 NC 31232.020000 0.0020917 N/A DFE RU N 2 Citibank, National Association E57ODZWZ7FF32TWEFA76 29892795.720000 RUB 415596.200000 USD 2020-10-13 31232.020000 N N N N/A N/A CGCMT 2006-C5 AJ BP GST 000000000 1.000000 NC USD 314908.040000 0.0210901 N/A DCR US N 2 GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 CITIGROUP COMMERCIAL MTGE TRUST 2006-C5 CGCMT 2006-C5 AJ WM15 WC6.0357 Y Single Leg Swap 2049-10-16 390061.640000 USD 0.000000 USD 6501027.470000 USD -75153.600000 N N N ANTHRACITE LTD 2004-HY1A N/A ANTHRACITE LTD SER 2004 HY1 CL D 144A 000000000 6767422.500000 PA USD 714430.030000 0.0478470 Long ABS-MBS CORP US N 2 2041-06-20 Fixed 5.678 N N N N N N N/A N/A GMACC 2006-C1 AJ BP GST 000000000 1.000000 NC USD 15075.930000 0.0010097 N/A DCR US N 2 GOLDMAN SACHS INTERNATIONAL W22LROWP2IHZNBB6K528 GMAC COMM MTGE SECURITIES INC 2006-C1 GMACC 2006-C1 AJ Y Single Leg Swap 2045-11-11 169736.910000 USD 0.000000 USD 565789.710000 USD -154660.980000 N N N N/A N/A SOLD DOP/BOUGHT USD 000000000 1.000000 NC 34645.390000 0.0023203 N/A DFE N/A N 2 Goldman Sachs Bank USA KD3XUN7C6T14HNAYLU02 297110620.000000 DOP 4996478.880000 USD 2021-03-17 34645.390000 N N N N/A N/A SOLD EUR/BOUGHT USD 000000000 1.000000 NC 16622.530000 0.0011132 N/A DFE N/A N 2 Goldman Sachs Bank USA KD3XUN7C6T14HNAYLU02 1161000.000000 EUR 1377836.720000 USD 2020-10-02 16622.530000 N N N N/A N/A SOLD RUB/BOUGHT USD 000000000 1.000000 NC 5595.550000 0.0003747 N/A DFE RU N 2 Goldman Sachs Bank USA KD3XUN7C6T14HNAYLU02 5569699.000000 RUB 77194.390000 USD 2020-10-16 5595.550000 N N N ARCONIC CORPORATION 549300B4YFWH3U74B152 ARCONIC CORP SR SECURED 144A 05/25 6 03966VAB3 700000.000000 PA USD 748860.000000 0.0501528 Long DBT CORP US N 2 2025-05-15 Fixed 6 N N N N N N 2020-11-04 PIMCO Flexible Credit Income Fund /s/ Jason Nagler Jason Nagler Assistant Treasurer XXXX NPORT-EX 2 flexiblecreditincomefund.htm PIMCO FLEXIBLE CREDIT INCOME FUND

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund

September 30, 2020

(Unaudited)

 

(AMOUNTS IN THOUSANDS*, EXCEPT NUMBER OF SHARES, CONTRACTS AND UNITS, IF ANY)

 

 

PRINCIPAL
AMOUNT

(000s)

 

MARKET
VALUE

(000s)

INVESTMENTS IN SECURITIES 192.7% ¤

 

 

 

 

LOAN PARTICIPATIONS AND ASSIGNMENTS 24.0%

 

 

 

 

Advanz Pharma Corp.
6.500% (LIBOR03M + 5.500%) due 09/06/2024 ~

$

6,387

$

6,222

Al Convoy (Luxembourg) SARL
4.650% (LIBOR03M + 3.500%) due 01/17/2027 ~

 

154

 

152

Ancestry.com Operations, Inc.

 

 

 

 

4.400% (LIBOR03M + 4.250%) due 08/27/2026 ~

 

193

 

193

4.750% (LIBOR03M + 3.750%) due 10/19/2023 ~

 

298

 

298

Banijay Entertainment S.A.S
3.907% (LIBOR03M + 3.750%) due 03/01/2025 «~

 

31

 

30

Cablevision Lightpath LLC
TBD% due 09/16/2027

 

1,000

 

994

Caesars Resort Collection LLC

 

 

 

 

2.897% (LIBOR03M + 2.750%) due 12/23/2024 ~

 

17,385

 

16,340

4.647% - 4.772% (LIBOR03M + 4.500%) due 07/21/2025 ~

 

3,154

 

3,062

Carnival Corp.

 

 

 

 

7.500% (EUR003M + 7.500%) due 06/30/2025 ~

EUR

2,594

 

3,017

8.500% (LIBOR03M + 7.500%) due 06/30/2025 ~

$

1,696

 

1,720

Clay Holdco BV
4.000% (EUR003M + 4.000%) due 10/30/2025 ~

EUR

1,752

 

2,013

Delta Air Lines, Inc.
5.750% (LIBOR03M + 4.750%) due 04/29/2023 ~

$

1,197

 

1,197

Diamond Resorts Corp.
4.750% (LIBOR03M + 3.750%) due 09/02/2023 ~

 

9,555

 

8,594

DTEK Holdings Ltd.
TBD% due 08/01/2026 «

EUR

2,117

 

1,429

DTEK Investments Ltd.
5.147% (LIBOR03M + 5.000%) due 06/30/2023 «~

$

5,846

 

3,366

Emerald TopCo, Inc.
3.761% (LIBOR03M + 3.500%) due 07/24/2026 ~

 

178

 

172

Envision Healthcare Corp.
3.897% (LIBOR03M + 3.750%) due 10/10/2025 ~

 

51,298

 

36,998

EyeCare Partners LLC

 

 

 

 

3.750% due 02/18/2027 µ

 

23

 

21

3.897% (LIBOR03M + 3.750%) due 02/18/2027 ~

 

96

 

91

Forest Park
5.780% due 12/11/2024 «

 

568

 

626

Froneri International PLC
2.397% (LIBOR03M + 2.250%) due 01/31/2027 ~

 

240

 

232

Frontier Communications Corp.
6.000% (PRIME + 2.750%) due 06/15/2024 ~

 

12,984

 

12,821

Ingersoll Rand Co. Ltd.
1.897% (LIBOR03M + 1.750%) due 03/01/2027 ~

 

108

 

104

Innophos, Inc.
3.897% (LIBOR03M + 3.750%) due 02/07/2027 «~

 

46

 

45

Intelsat Jackson Holdings S.A.

 

 

 

 

3.600% - 6.500% (LIBOR03M + 5.500%) due 07/13/2022 ~µ

 

188

 

192

8.000% (PRIME + 4.750%) due 11/27/2023 ~

 

200

 

202

Jefferies Finance LLC
3.397% - 3.438% (LIBOR03M + 3.250%) due 06/03/2026 ~

 

41

 

40

LOPM 39 DE LLC
0.500% - 5.750% (LIBOR03M + 4.000%) due 06/03/2026 «~

 

35,000

 

33,796

McDermott Technology Americas, Inc.

 

 

 

 

3.147% (LIBOR03M + 3.000%) due 06/30/2024 «~

 

569

 

498

4.147% (LIBOR03M + 4.000%) due 06/30/2025 ~

 

2,244

 

1,829

Merrill Lynch Mortgage Investors Trust
8.000% due 12/01/2020 «(m)

 

36,961

 

36,329

MH Sub LLC
3.647% (LIBOR03M + 3.500%) due 09/13/2024 ~

 

19

 

19

Milano Acquisition Corp.
TBD% due 08/13/2027

 

2,400

 

2,381

NCI Building Systems, Inc.
3.901% (LIBOR03M + 3.750%) due 04/12/2025 ~

 

39

 

39

Neiman Marcus Group Ltd. LLC

 

 

 

 

13.000% (LIBOR03M + 12.000%) due 09/25/2025 ~

 

14,323

 

14,765

Ortho-Clinical Diagnostics S.A.
3.406% (LIBOR03M + 3.250%) due 06/30/2025 ~

 

6,537

 

6,278

Otterham Property Finance Designated Activity Co.
3.000% (EUR003M + 3.000%) due 09/03/2026 «~(m)(o)

EUR

35,377

 

40,338

Park Springs Apartments
7.000% due 02/01/2023 «

$

1,803

 

1,933

PetSmart, Inc.
4.500% (LIBOR03M + 3.500%) due 03/11/2022 ~

 

94

 

94

 

 

 

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Preylock Reitman Santa Cruz Mezz LLC
TBD% (LIBOR03M + 5.500%) due 11/09/2022 «~(m)

 

7,900

 

7,613

Project Anfora Senior
2.750% (EUR003M + 2.750%) due 10/01/2026 «~(m)(o)

EUR

39,201

 

44,698

PUG LLC
3.647% (LIBOR03M + 3.500%) due 02/12/2027 ~

$

72

 

64

Refinitiv U.S. Holdings, Inc.

 

 

 

 

3.250% (EUR003M + 3.250%) due 10/01/2025 ~

EUR

992

 

1,151

3.397% (LIBOR03M + 3.250%) due 10/01/2025 ~

$

793

 

786

Sequa Mezzanine Holdings LLC
7.750% (LIBOR03M + 6.750%) due 11/28/2023 ~

 

23,521

 

22,434

Sequa Mezzanine Holdings LLC (5.000% Cash and 6.750% PIK)
11.750% (LIBOR03M + 4.000%) due 04/28/2024 «~
(d)

 

18,316

 

14,653

Sotera Health Holdings LLC
5.500% (LIBOR03M + 4.500%) due 12/11/2026 ~

 

267

 

266

Starfruit Finco BV
3.151% (LIBOR03M + 3.000%) due 10/01/2025 ~

 

273

 

264

Summer (BC) Holdco B SARL
5.001% (LIBOR03M + 4.750%) due 12/04/2026 ~

 

7,075

 

6,827

Syniverse Holdings, Inc.
6.000% (LIBOR03M + 5.000%) due 03/09/2023 ~

 

14,028

 

10,930

U.S. Renal Care, Inc.
5.147% (LIBOR03M + 5.000%) due 06/26/2026 ~

 

169

 

165

Valaris PLC
TBD% due 08/17/2021
«

 

35

 

35

Walgreens

 

 

 

 

5.861% due 02/01/2025 «

 

1,082

 

1,200

6.000% due 03/06/2030 «

 

758

 

941

Westmoreland Mining Holdings LLC
9.250% (LIBOR03M + 8.250%) due 03/15/2022 «~

 

948

 

901

Westmoreland Mining Holdings LLC (15.000% PIK)
15.000% due 03/15/2029
(d)

 

6,645

 

3,876

Windstream Services LLC
7.250% (LIBOR03M + 6.250%) due 09/21/2027 ~

 

7,135

 

6,925

Zayo Group Holdings, Inc.
3.147% (LIBOR03M + 3.000%) due 03/09/2027 ~

 

498

 

484

Total Loan Participations and Assignments (Cost $373,281)

 

 

 

362,683

CORPORATE BONDS & NOTES 53.0%

 

 

 

 

BANKING & FINANCE 16.5%

 

 

 

 

Ally Financial, Inc.

 

 

 

 

8.000% due 11/01/2031 (o)

 

88

 

121

8.000% due 11/01/2031

 

2

 

3

Ambac LSNI LLC
6.000% due 02/12/2023 •(o)

 

9,670

 

9,682

Banco de Credito del Peru
4.650% due 09/17/2024

PEN

1,300

 

379

Bank of Nova Scotia
4.900% due 06/04/2025 •(k)(l)(o)

$

14,995

 

15,557

Barclays PLC

 

 

 

 

3.250% due 01/17/2033

GBP

100

 

138

5.875% due 09/15/2024 •(k)(l)(o)

 

1,200

 

1,494

6.375% due 12/15/2025 •(k)(l)

 

650

 

833

7.125% due 06/15/2025 •(k)(l)(o)

 

4,100

 

5,530

7.250% due 03/15/2023 •(k)(l)(o)

 

6,585

 

8,689

7.750% due 09/15/2023 •(k)(l)(o)

$

2,410

 

2,491

7.875% due 09/15/2022 •(k)(l)(o)

GBP

2,000

 

2,640

8.000% due 06/15/2024 •(k)(l)

$

250

 

266

CBL & Associates LP

 

 

 

 

4.600% due 10/15/2024 ^(e)

 

4

 

2

5.950% due 12/15/2026 ^(e)(o)

 

10,231

 

3,865

CIT Group, Inc.
5.000% due 08/15/2022 (o)

 

1,000

 

1,033

Corestate Capital Holding S.A.
3.500% due 04/15/2023 (o)

EUR

3,600

 

3,515

Credit Suisse Group AG

 

 

 

 

7.250% due 09/12/2025 •(k)(l)(o)

$

200

 

217

7.500% due 07/17/2023 •(k)(l)(o)

 

200

 

212

Doric Nimrod Air Alpha Pass-Through Trust
5.250% due 05/30/2025 (o)

 

433

 

390

Doric Nimrod Air Finance Alpha Ltd. Pass-Through Trust
5.125% due 11/30/2024

 

69

 

62

Emerald Bay S.A.
0.000% due 10/08/2020 (h)

EUR

6

 

7

ESH Hospitality, Inc.
4.625% due 10/01/2027 (o)

$

97

 

95

Fairfax Financial Holdings Ltd.
4.625% due 04/29/2030 (o)

 

5,300

 

5,757

Farringdon Mortgages
4.280% due 07/15/2047

GBP

5,675

 

5,493

Ford Motor Credit Co. LLC

 

 

 

 

3.200% due 01/15/2021 (o)

$

1,000

 

1,000

3.350% due 11/01/2022 (o)

 

300

 

296

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

3.470% due 04/05/2021 (o)

 

400

 

400

5.085% due 01/07/2021 (o)

 

1,000

 

1,004

Fortress Transportation & Infrastructure Investors LLC
6.500% due 10/01/2025 (o)

 

471

 

464

GE Capital Funding LLC
4.400% due 05/15/2030 (o)

 

2,200

 

2,369

GE Capital International Funding Co. Unlimited Co.
4.418% due 11/15/2035 (o)

 

300

 

318

Genworth Mortgage Holdings, Inc.
6.500% due 08/15/2025 (o)

 

3,400

 

3,560

GLP Capital LP
4.000% due 01/15/2031 (o)

 

1,000

 

1,043

Highwoods Realty LP
3.050% due 02/15/2030 (o)

 

100

 

104

HSBC Holdings PLC

 

 

 

 

4.750% due 07/04/2029 •(k)(l)

EUR

300

 

348

5.875% due 09/28/2026 •(k)(l)(o)

GBP

1,600

 

2,091

6.000% due 09/29/2023 •(k)(l)

EUR

570

 

706

6.500% due 03/23/2028 •(k)(l)(o)

$

340

 

361

Hunt Cos., Inc.
6.250% due 02/15/2026

 

14

 

13

ING Groep NV
5.750% due 11/16/2026 •(k)(l)(o)

 

600

 

624

Kennedy Wilson Europe Real Estate Ltd.
3.950% due 06/30/2022

GBP

853

 

1,083

Kilroy Realty LP
3.050% due 02/15/2030 (o)

$

100

 

105

Ladder Capital Finance Holdings LLP
4.250% due 02/01/2027

 

71

 

62

Lloyds Banking Group PLC

 

 

 

 

7.500% due 09/27/2025 •(k)(l)(o)

 

1,910

 

2,035

7.625% due 06/27/2023 •(k)(l)(o)

GBP

200

 

269

7.875% due 06/27/2029 •(k)(l)(o)

 

10,084

 

15,013

MGIC Investment Corp.
5.250% due 08/15/2028 (o)

$

3,028

 

3,139

Natwest Group PLC
8.000% due 08/10/2025 •(k)(l)(o)

 

6,325

 

7,035

Navient Corp.

 

 

 

 

5.625% due 01/25/2025

 

139

 

129

5.875% due 03/25/2021 (o)

 

1,400

 

1,413

6.150% due 03/10/2021 (o)

 

600

 

599

6.625% due 07/26/2021 (o)

 

200

 

203

7.250% due 09/25/2023 (o)

 

9,526

 

9,877

OneMain Finance Corp.
6.875% due 03/15/2025 (o)

 

4,125

 

4,585

Piper Jaffray Cos.

 

 

 

 

4.740% due 10/15/2021 (o)

 

800

 

800

5.200% due 10/15/2023 (o)

 

2,900

 

2,907

Santander UK Group Holdings PLC

 

 

 

 

6.750% due 06/24/2024 •(k)(l)(o)

GBP

11,766

 

16,014

7.375% due 06/24/2022 •(k)(l)(o)

 

5,871

 

7,910

Societe Generale S.A.

 

 

 

 

6.750% due 04/06/2028 •(k)(l)(o)

$

200

 

209

7.375% due 10/04/2023 •(k)(l)(o)

 

700

 

721

Spirit Realty LP
3.400% due 01/15/2030 (o)

 

100

 

99

Tesco Property Finance PLC

 

 

 

 

5.411% due 07/13/2044

GBP

94

 

159

5.661% due 10/13/2041

 

98

 

169

5.744% due 04/13/2040 (o)

 

109

 

187

5.801% due 10/13/2040 (o)

 

457

 

792

Toll Road Investors Partnership LP
0.000% due 02/15/2043 (h)

$

102,200

 

30,238

TP ICAP PLC
5.250% due 05/29/2026

GBP

100

 

144

Trust Fibra Uno

 

 

 

 

4.869% due 01/15/2030 (o)

$

1,100

 

1,109

6.390% due 01/15/2050 (o)

 

2,900

 

2,900

Unique Pub Finance Co. PLC

 

 

 

 

5.659% due 06/30/2027

GBP

7,972

 

10,691

7.395% due 03/28/2024

 

2,181

 

2,948

Uniti Group LP
7.875% due 02/15/2025 (o)

$

31,779

 

33,725

Uniti Group, Inc.
6.000% due 04/15/2023 (o)

 

2,000

 

2,015

VEREIT Operating Partnership LP
4.625% due 11/01/2025 (o)

 

100

 

111

Voyager Aviation Holdings LLC
8.500% due 08/15/2021 (o)

 

13,205

 

6,603

 

 

 

 

249,170

INDUSTRIALS 29.6%

 

 

 

 

AA Bond Co. Ltd.
2.875% due 07/31/2043 (o)

GBP

8,893

 

11,442

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Aker BP ASA
3.750% due 01/15/2030 (o)

$

175

 

170

Albertsons Cos., Inc.

 

 

 

 

4.625% due 01/15/2027

 

19

 

19

4.875% due 02/15/2030

 

38

 

40

Altice Financing S.A.
7.500% due 05/15/2026 (o)

 

7,450

 

7,895

Altice France S.A.
7.375% due 05/01/2026 (o)

 

1,327

 

1,392

Arconic Corp.
6.000% due 05/15/2025 (o)

 

700

 

749

Associated Materials LLC
9.000% due 09/01/2025 (o)

 

6,332

 

6,633

B.C. Unlimited Liability Co.
4.375% due 01/15/2028

 

39

 

40

Bioceanico Sovereign Certificate Ltd.
0.000% due 06/05/2034 (h)(o)

 

149

 

111

Boeing Co.

 

 

 

 

5.040% due 05/01/2027 (o)

 

876

 

964

5.150% due 05/01/2030 (o)

 

1,535

 

1,724

5.705% due 05/01/2040 (o)

 

2,172

 

2,546

5.805% due 05/01/2050 (o)

 

2,179

 

2,638

5.930% due 05/01/2060 (o)

 

3,679

 

4,567

Bombardier, Inc.

 

 

 

 

5.750% due 03/15/2022 (o)

 

100

 

97

6.000% due 10/15/2022 (o)

 

804

 

747

6.125% due 01/15/2023 (o)

 

4,113

 

3,521

7.500% due 12/01/2024 (o)

 

2,678

 

2,062

7.500% due 03/15/2025 (o)

 

3,513

 

2,644

7.875% due 04/15/2027 (o)

 

4,227

 

3,212

8.750% due 12/01/2021 (o)

 

122

 

124

BRF S.A.
5.750% due 09/21/2050 (o)

 

1,000

 

995

Broadcom, Inc.

 

 

 

 

4.150% due 11/15/2030 (o)

 

1,350

 

1,519

4.300% due 11/15/2032 (o)

 

1,858

 

2,123

Cablevision Lightpath LLC

 

 

 

 

3.875% due 09/15/2027 (o)

 

1,000

 

1,002

5.625% due 09/15/2028 (o)

 

1,000

 

1,018

Caesars Entertainment, Inc.
6.250% due 07/01/2025 (o)

 

6,300

 

6,576

Camelot Finance S.A.
4.500% due 11/01/2026

 

13

 

13

CCO Holdings LLC

 

 

 

 

4.500% due 08/15/2030 (o)

 

339

 

356

4.750% due 03/01/2030 (o)

 

326

 

346

Charter Communications Operating LLC
4.800% due 03/01/2050 (o)

 

402

 

462

Citrix Systems, Inc.
3.300% due 03/01/2030 (o)

 

156

 

167

Clear Channel Worldwide Holdings, Inc.
9.250% due 02/15/2024 (o)

 

388

 

377

Community Health Systems, Inc.

 

 

 

 

6.250% due 03/31/2023 (o)

 

22,211

 

21,739

6.625% due 02/15/2025 (o)

 

2,586

 

2,508

8.000% due 03/15/2026 (o)

 

5,637

 

5,541

8.625% due 01/15/2024 (o)

 

5,585

 

5,568

Connect Finco SARL
6.750% due 10/01/2026 (o)

 

104

 

104

Continental Airlines Pass-Through Trust
4.150% due 10/11/2025 (o)

 

131

 

129

Corning, Inc.
5.450% due 11/15/2079 (o)

 

141

 

180

DaVita, Inc.
3.750% due 02/15/2031 (o)

 

2,009

 

1,941

Dell International LLC
6.200% due 07/15/2030 (o)

 

100

 

120

Delta Air Lines Pass-Through Trust
6.821% due 02/10/2024 (o)

 

367

 

367

Delta Air Lines, Inc.

 

 

 

 

7.000% due 05/01/2025 (o)

 

8,600

 

9,454

7.375% due 01/15/2026 (o)

 

3,788

 

3,976

Diamond Resorts International, Inc.
7.750% due 09/01/2023 (o)

 

1,248

 

1,202

Diebold Nixdorf, Inc.
9.375% due 07/15/2025 (o)

 

3,700

 

3,913

DriveTime Automotive Group, Inc.
8.000% due 06/01/2021 (o)

 

7,261

 

7,296

Energizer Holdings, Inc.
4.750% due 06/15/2028 (o)

 

600

 

622

Energy Transfer Operating LP

 

 

 

 

3.750% due 05/15/2030 (o)

 

164

 

159

5.000% due 05/15/2050 (o)

 

149

 

137

Envision Healthcare Corp.
8.750% due 10/15/2026 (o)

 

2,557

 

1,185

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Exela Intermediate LLC
10.000% due 07/15/2023

 

13

 

4

Expedia Group, Inc.

 

 

 

 

4.625% due 08/01/2027 (o)

 

1,800

 

1,894

6.250% due 05/01/2025 (o)

 

4,500

 

4,965

7.000% due 05/01/2025 (o)

 

2,100

 

2,273

First Quantum Minerals Ltd.

 

 

 

 

6.500% due 03/01/2024 (o)

 

1,150

 

1,105

6.875% due 03/01/2026 (o)

 

768

 

742

6.875% due 10/15/2027 (c)

 

5,300

 

5,112

Fresh Market, Inc.
9.750% due 05/01/2023

 

50

 

45

Frontier Finance PLC
8.000% due 03/23/2022

GBP

4,050

 

5,404

Full House Resorts, Inc.

 

 

 

 

8.575% due 01/31/2024

$

9,825

 

9,443

9.738% due 02/02/2024

 

830

 

798

Gap, Inc.

 

 

 

 

8.375% due 05/15/2023 (o)

 

1,500

 

1,660

8.625% due 05/15/2025 (o)

 

6,900

 

7,568

8.875% due 05/15/2027 (o)

 

3,600

 

4,099

General Electric Co.

 

 

 

 

4.350% due 05/01/2050 (o)

 

4,400

 

4,492

5.875% due 01/14/2038 (o)

 

22

 

26

6.150% due 08/07/2037 (o)

 

73

 

88

6.875% due 01/10/2039 (o)

 

21

 

27

Greene King Finance PLC
2.139% (BP0003M + 2.080%) due 03/15/2036 ~

GBP

200

 

191

iHeartCommunications, Inc.
8.375% due 05/01/2027 (o)

$

854

 

843

IHO Verwaltungs GmbH (3.875% Cash or 4.625% PIK)
3.875% due 05/15/2027 (d)(o)

EUR

200

 

236

IHO Verwaltungs GmbH (6.000% Cash or 6.750% PIK)
6.000% due 05/15/2027 (d)(o)

$

682

 

722

IHO Verwaltungs GmbH (6.375% Cash or 7.125% PIK)
6.375% due 05/15/2029 (d)(o)

 

503

 

537

Illuminate Buyer LLC
9.000% due 07/01/2028 (o)

 

1,300

 

1,396

Innophos Holdings, Inc.
9.375% due 02/15/2028 (o)

 

248

 

265

Intelligent Packaging Ltd. Finco, Inc.
6.000% due 09/15/2028 (o)

 

1,200

 

1,219

Intelsat Connect Finance S.A.
9.500% due 02/15/2023 ^(e)(o)

 

200

 

67

Intelsat Jackson Holdings S.A.

 

 

 

 

5.500% due 08/01/2023 ^(e)(o)

 

29,407

 

18,526

8.000% due 02/15/2024 (o)

 

658

 

669

8.500% due 10/15/2024 ^(e)(o)

 

23,492

 

15,209

9.750% due 07/15/2025 ^(e)(o)

 

3,268

 

2,146

Intelsat Luxembourg S.A.
7.750% due 06/01/2021 ^(e)(o)

 

12,151

 

577

Kraft Heinz Foods Co.

 

 

 

 

3.875% due 05/15/2027 (o)

 

3,212

 

3,428

4.250% due 03/01/2031 (o)

 

3,212

 

3,530

5.500% due 06/01/2050 (o)

 

3,212

 

3,688

Kronos Acquisition Holdings, Inc.
9.000% due 08/15/2023 (o)

 

600

 

610

L Brands, Inc.

 

 

 

 

6.625% due 10/01/2030

 

2,300

 

2,346

9.375% due 07/01/2025 (o)

 

1,800

 

2,068

Leviathan Bond Ltd.
5.750% due 06/30/2023 (o)

 

1,800

 

1,858

Logan Merger Sub, Inc.
5.500% due 09/01/2027 (o)

 

2,300

 

2,339

Marriott International, Inc.
4.625% due 06/15/2030

 

90

 

97

Melco Resorts Finance Ltd.
5.375% due 12/04/2029 (o)

 

200

 

199

NCL Corp. Ltd.

 

 

 

 

3.625% due 12/15/2024 (o)

 

140

 

98

10.250% due 02/01/2026 (o)

 

9,600

 

10,032

12.250% due 05/15/2024 (o)

 

7,980

 

8,948

Netflix, Inc.

 

 

 

 

3.625% due 06/15/2030 (o)

EUR

300

 

382

3.875% due 11/15/2029 (o)

 

905

 

1,174

4.625% due 05/15/2029 (o)

 

300

 

408

4.875% due 06/15/2030 (o)

$

200

 

228

5.375% due 11/15/2029 (o)

 

86

 

101

Noble Holding International Ltd.
7.875% due 02/01/2026 ^(e)

 

486

 

119

Novasep Holding S.A.S.
8.000% due 05/31/2022 (o)

EUR

2,360

 

2,587

Occidental Petroleum Corp.
1.730% (US0003M + 1.450%) due 08/15/2022 ~(o)

$

4,100

 

3,651

Ortho-Clinical Diagnostics, Inc.

 

 

 

 

7.250% due 02/01/2028 (o)

 

944

 

984

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

7.375% due 06/01/2025 (o)

 

386

 

393

Pacific Drilling SA
8.375% due 10/01/2023 (o)

 

794

 

130

Pan American Energy LLC
29.668% (BADLARPP + 0.000%) due 11/20/2020 ~

ARS

50,810

 

337

Par Pharmaceutical, Inc.
7.500% due 04/01/2027 (o)

$

149

 

156

Petroleos de Venezuela S.A.

 

 

 

 

5.375% due 04/12/2027 ^(e)

 

440

 

13

6.000% due 05/16/2024 ^(e)

 

650

 

19

6.000% due 11/15/2026 ^(e)

 

430

 

13

Petroleos Mexicanos

 

 

 

 

2.750% due 04/21/2027 (o)

EUR

3,900

 

3,662

5.350% due 02/12/2028 (o)

$

1,158

 

993

5.950% due 01/28/2031 (o)

 

7,930

 

6,605

6.350% due 02/12/2048 (o)

 

154

 

115

6.490% due 01/23/2027 (o)

 

130

 

122

6.500% due 03/13/2027 (o)

 

5,433

 

5,074

6.500% due 01/23/2029 (o)

 

998

 

894

6.750% due 09/21/2047 (o)

 

394

 

304

6.840% due 01/23/2030 (o)

 

5,190

 

4,626

6.950% due 01/28/2060

 

600

 

460

6.950% due 01/28/2060 (o)

 

462

 

354

7.690% due 01/23/2050 (o)

 

190

 

157

Platin 1426 GmbH

 

 

 

 

6.875% due 06/15/2023

EUR

400

 

472

6.875% due 06/15/2023 (o)

 

3,880

 

4,575

PM General Purchaser LLC
9.500% due 10/01/2028 (c)

$

1,400

 

1,455

Prime Security Services Borrower LLC
3.375% due 08/31/2027 (o)

 

3,349

 

3,225

Prosus NV
2.031% due 08/03/2032 (o)

EUR

500

 

591

Royal Caribbean Cruises Ltd.

 

 

 

 

9.125% due 06/15/2023 (o)

$

1,100

 

1,167

10.875% due 06/01/2023 (o)

 

4,500

 

5,038

11.500% due 06/01/2025 (o)

 

6,600

 

7,675

Sabine Pass Liquefaction LLC
4.500% due 05/15/2030 (o)

 

1,732

 

1,954

Sabre GLBL, Inc.
7.375% due 09/01/2025 (o)

 

7,700

 

7,789

Seagate HDD Cayman
4.125% due 01/15/2031 (o)

 

700

 

756

Six Flags Theme Parks, Inc.
7.000% due 07/01/2025 (o)

 

400

 

426

Southwest Airlines Co.

 

 

 

 

5.125% due 06/15/2027 (o)

 

2,500

 

2,728

5.250% due 05/04/2025 (o)

 

900

 

992

Spirit AeroSystems, Inc.
1.050% (US0003M + 0.800%) due 06/15/2021 ~

 

100

 

95

Standard Industries, Inc.
3.375% due 01/15/2031 (o)

 

4,950

 

4,895

Staples, Inc.
7.500% due 04/15/2026

 

18

 

17

TEGNA, Inc.
4.625% due 03/15/2028 (o)

 

359

 

352

Teva Pharmaceutical Finance Co. BV
2.950% due 12/18/2022 (o)

 

700

 

682

Teva Pharmaceutical Finance Netherlands BV

 

 

 

 

1.250% due 03/31/2023 (o)

EUR

400

 

436

2.800% due 07/21/2023 (o)

$

4,580

 

4,388

6.000% due 01/31/2025

EUR

200

 

241

Topaz Solar Farms LLC

 

 

 

 

4.875% due 09/30/2039 (o)

$

3,275

 

3,638

5.750% due 09/30/2039 (o)

 

30,249

 

35,395

TransDigm, Inc.
5.500% due 11/15/2027

 

88

 

85

Transocean Pontus Ltd.
6.125% due 08/01/2025 (o)

 

108

 

97

Transocean, Inc.

 

 

 

 

7.250% due 11/01/2025

 

346

 

99

7.500% due 01/15/2026

 

190

 

43

8.000% due 02/01/2027

 

254

 

72

TripAdvisor, Inc.
7.000% due 07/15/2025 (o)

 

4,300

 

4,491

Triumph Group, Inc.

 

 

 

 

5.250% due 06/01/2022

 

97

 

80

6.250% due 09/15/2024 (o)

 

137

 

117

8.875% due 06/01/2024 (o)

 

2,700

 

2,882

U.S. Renal Care, Inc.
10.625% due 07/15/2027 (o)

 

113

 

120

United Group BV

 

 

 

 

3.125% due 02/15/2026 (o)

EUR

474

 

525

3.250% due 02/15/2026 •(o)

 

200

 

223

3.625% due 02/15/2028 (o)

 

500

 

553

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Univision Communications, Inc.

 

 

 

 

5.125% due 02/15/2025 (o)

$

890

 

845

6.625% due 06/01/2027 (o)

 

1,000

 

979

9.500% due 05/01/2025 (o)

 

900

 

967

Valaris PLC

 

 

 

 

5.750% due 10/01/2044 ^

 

257

 

16

7.750% due 02/01/2026 ^(e)

 

32

 

2

Vale Overseas Ltd.

 

 

 

 

6.875% due 11/21/2036 (o)

 

781

 

1,015

6.875% due 11/10/2039 (o)

 

275

 

362

ViaSat, Inc.

 

 

 

 

5.625% due 04/15/2027

 

18

 

19

6.500% due 07/15/2028 (o)

 

1,300

 

1,304

Viking Cruises Ltd.
13.000% due 05/15/2025 (o)

 

12,500

 

14,500

Western Midstream Operating LP

 

 

 

 

2.116% (US0003M + 1.850%) due 01/13/2023 ~

 

90

 

84

6.250% due 02/01/2050

 

60

 

56

Windstream Escrow LLC
7.750% due 08/15/2028 (o)

 

21,362

 

21,042

Wyndham Destinations, Inc.

 

 

 

 

3.900% due 03/01/2023 (o)

 

90

 

88

4.625% due 03/01/2030 (o)

 

87

 

84

5.650% due 04/01/2024

 

12

 

12

6.625% due 07/31/2026 (o)

 

3,100

 

3,253

Wyndham Hotels & Resorts, Inc.
4.375% due 08/15/2028 (o)

 

3,000

 

2,916

Wynn Macau Ltd.

 

 

 

 

5.125% due 12/15/2029 (o)

 

400

 

384

5.500% due 01/15/2026 (o)

 

200

 

197

5.625% due 08/26/2028 (o)

 

2,200

 

2,139

YPF S.A.
35.642% (BADLARPP + 6.000%) due 03/04/2021 ~

ARS

12,950

 

83

Zayo Group Holdings, Inc.
6.125% due 03/01/2028 (o)

$

153

 

158

 

 

 

 

448,956

UTILITIES 6.9%

 

 

 

 

AT&T, Inc.

 

 

 

 

3.500% due 06/01/2041 (o)

 

2,560

 

2,704

3.650% due 06/01/2051 (o)

 

4,014

 

4,074

3.850% due 06/01/2060 (o)

 

2,438

 

2,490

Centrais Eletricas Brasileiras S.A.
4.625% due 02/04/2030 (o)

 

200

 

200

CenturyLink, Inc.
4.000% due 02/15/2027 (o)

 

122

 

124

DTEK Finance PLC
10.750% due 12/31/2024 ^(e)

 

434

 

294

Edison International
5.750% due 06/15/2027 (o)

 

78

 

86

Frontier Communications Corp.
8.000% due 04/01/2027 (o)

 

142

 

142

Odebrecht Drilling Norbe Ltd.

 

 

 

 

6.350% due 12/01/2021 ^(o)

 

315

 

291

6.350% due 12/01/2021 ^

 

28

 

26

Odebrecht Offshore Drilling Finance Ltd.
6.720% due 12/01/2022 ^(o)

 

6,141

 

5,588

Pacific Gas & Electric Co.

 

 

 

 

3.150% due 01/01/2026 (o)

 

100

 

103

3.300% due 03/15/2027 (o)

 

3,661

 

3,737

3.300% due 12/01/2027 (o)

 

1,400

 

1,441

3.400% due 08/15/2024 (o)

 

539

 

564

3.450% due 07/01/2025 (o)

 

3,852

 

4,036

3.500% due 06/15/2025 (o)

 

1,753

 

1,847

3.750% due 02/15/2024 (o)

 

265

 

278

3.750% due 07/01/2028 (o)

 

3,852

 

4,010

3.750% due 08/15/2042

 

26

 

24

3.850% due 11/15/2023 (o)

 

797

 

841

4.000% due 12/01/2046

 

4

 

4

4.250% due 08/01/2023 (o)

 

1,642

 

1,750

4.250% due 03/15/2046 (o)

 

2,555

 

2,472

4.300% due 03/15/2045

 

34

 

33

4.450% due 04/15/2042 (o)

 

900

 

902

4.500% due 07/01/2040 (o)

 

5,139

 

5,241

4.500% due 12/15/2041 (o)

 

368

 

363

4.550% due 07/01/2030 (o)

 

9,178

 

9,969

4.600% due 06/15/2043

 

20

 

20

4.650% due 08/01/2028 (o)

 

1,277

 

1,388

4.750% due 02/15/2044 (o)

 

1,659

 

1,700

4.950% due 07/01/2050 (o)

 

10,078

 

10,816

Rio Oil Finance Trust

 

 

 

 

8.200% due 04/06/2028 (o)

 

6,608

 

7,120

9.250% due 07/06/2024 (o)

 

3,991

 

4,360

Southern California Edison Co.

 

 

 

 

2.850% due 08/01/2029 (o)

 

30

 

32

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

3.650% due 02/01/2050 (o)

 

60

 

63

5.950% due 02/01/2038 (o)

 

100

 

127

Sprint Communications, Inc.
6.000% due 11/15/2022 (o)

 

194

 

209

Sprint Corp.

 

 

 

 

7.125% due 06/15/2024 (o)

 

600

 

691

7.625% due 02/15/2025 (o)

 

7,612

 

8,920

7.625% due 03/01/2026 (o)

 

4,832

 

5,846

7.875% due 09/15/2023 (o)

 

7,422

 

8,518

Talen Energy Supply LLC
6.625% due 01/15/2028

 

46

 

45

Transocean Poseidon Ltd.
6.875% due 02/01/2027 (o)

 

148

 

119

Transocean Sentry Ltd.
5.375% due 05/15/2023 (o)

 

100

 

68

 

 

 

 

103,676

Total Corporate Bonds & Notes (Cost $810,860)

 

 

 

801,802

CONVERTIBLE BONDS & NOTES 0.8%

 

 

 

 

BANKING & FINANCE 0.2%

 

 

 

 

Corestate Capital Holding S.A.
1.375% due 11/28/2022

EUR

3,000

 

2,884

INDUSTRIALS 0.6%

 

 

 

 

NCL Corp. Ltd.
6.000% due 05/15/2024 (o)

$

4,000

 

5,871

Royal Caribbean Cruises Ltd.
4.250% due 06/15/2023 (o)

 

3,200

 

3,750

 

 

 

 

9,621

UTILITIES 0.0%

 

 

 

 

Ensco Jersey Finance Ltd.
3.000% due 01/31/2024 ^(e)

 

16

 

2

Total Convertible Bonds & Notes (Cost $9,903)

 

 

 

12,507

MUNICIPAL BONDS & NOTES 0.0%

 

 

 

 

ILLINOIS 0.0%

 

 

 

 

Illinois State General Obligation Bonds, (BABs), Series 2010
6.725% due 04/01/2035

 

10

 

11

Illinois State General Obligation Bonds, Series 2003
5.100% due 06/01/2033

 

5

 

5

 

 

 

 

16

TEXAS 0.0%

 

 

 

 

Texas Public Finance Authority Revenue Notes, Series 2014
8.250% due 07/01/2024

 

120

 

121

WEST VIRGINIA 0.0%

 

 

 

 

Tobacco Settlement Finance Authority, West Virginia Revenue Bonds, Series 2007

 

 

 

 

0.000% due 06/01/2047 (h)

 

1,200

 

66

7.467% due 06/01/2047

 

65

 

69

 

 

 

 

135

Total Municipal Bonds & Notes (Cost $287)

 

 

 

272

U.S. GOVERNMENT AGENCIES 2.6%

 

 

 

 

Freddie Mac

 

 

 

 

0.000% due 02/25/2046 (b)(h)(o)

 

9,401

 

8,896

0.100% due 02/25/2046 (a)(o)

 

76,977

 

11

0.100% due 02/25/2046 (a)

 

19,701

 

6

0.700% due 11/25/2055 ~(a)(o)

 

65,631

 

4,804

2.079% due 11/25/2045 ~(a)

 

24,637

 

2,993

3.902% due 07/15/2035 •(o)

 

10,325

 

10,487

4.652% due 07/15/2035 •(o)

 

11,800

 

12,044

6.498% due 08/15/2026 •(a)

 

3,141

 

361

Total U.S. Government Agencies (Cost $39,526)

 

 

 

39,602

NON-AGENCY MORTGAGE-BACKED SECURITIES 48.3%

 

 

 

 

280 Park Avenue Mortgage Trust
2.979% due 09/15/2034 •

 

11,733

 

11,122

Adjustable Rate Mortgage Trust

 

 

 

 

0.688% due 02/25/2036 •

 

53

 

38

1.148% due 10/25/2035 •

 

2,543

 

2,337

1.168% due 11/25/2035 •

 

446

 

372

1.298% due 01/25/2035 •(o)

 

3,468

 

3,228

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

1.948% due 02/25/2035 •

 

1,808

 

1,683

Anthracite Ltd.
5.678% due 06/20/2041

 

6,767

 

714

Ashford Hospitality Trust

 

 

 

 

1.602% due 06/15/2035 •(o)

 

10,000

 

9,328

2.002% due 06/15/2035 •

 

3,000

 

2,726

2.252% due 04/15/2035 •(o)

 

2,000

 

1,834

Atrium Hotel Portfolio Trust
1.802% due 12/15/2036 •(o)

 

8,800

 

7,988

BAMLL Re-REMIC Trust
6.011% due 06/17/2050 ~

 

3,000

 

1,417

Banc of America Alternative Loan Trust
6.500% due 04/25/2036 ^

 

649

 

673

Banc of America Funding Trust

 

 

 

 

0.325% due 10/25/2036 •

 

17,342

 

5,838

0.385% due 08/25/2047 ^~

 

2,001

 

1,577

6.000% due 07/25/2036

 

852

 

802

8.576% due 02/27/2037 ~(o)

 

2,487

 

2,459

Banc of America Mortgage Trust

 

 

 

 

3.531% due 06/25/2034 ~

 

274

 

227

3.612% due 07/20/2032 ~

 

152

 

145

Bancorp Commercial Mortgage Trust
3.902% due 08/15/2032 •(o)

 

4,100

 

3,887

Barclays Commercial Mortgage Securities Trust
2.543% due 07/15/2037 •(o)

 

5,581

 

4,913

BCAP LLC Trust

 

 

 

 

0.569% due 05/26/2037 ~

 

2,347

 

1,769

3.280% due 08/28/2037 ~(o)

 

10,991

 

7,425

6.500% due 06/26/2037 ~

 

2,151

 

1,005

Bear Stearns Commercial Mortgage Securities Trust

 

 

 

 

5.300% due 05/11/2039 ~

 

2,648

 

2,687

5.657% due 10/12/2041 ~

 

765

 

783

BHP Trust
2.720% due 08/15/2036 •

 

8,000

 

7,293

Braemar Hotels & Resorts Trust
1.402% due 06/15/2035 •(o)

 

3,375

 

3,048

BX Trust
3.302% due 07/15/2034 •(o)

 

10,200

 

10,069

CD Mortgage Trust
5.688% due 10/15/2048 (o)

 

4,382

 

2,530

Chase Mortgage Finance Trust
3.650% due 03/25/2037 ^~

 

74

 

72

Chevy Chase Funding LLC Mortgage-Backed Certificates
0.518% due 01/25/2036 •

 

4,677

 

2,724

Churchill Capital Corp.
6.000% due 09/30/2027 «(m)

 

10,600

 

10,104

Citigroup Commercial Mortgage Trust

 

 

 

 

5.482% due 10/15/2049 (o)

 

6,501

 

6,183

5.773% due 12/10/2049 ~

 

1,493

 

904

Citigroup Mortgage Loan Trust

 

 

 

 

3.179% due 11/25/2036 ~

 

740

 

616

3.970% due 07/25/2049 ~(o)

 

3,750

 

3,746

4.250% due 02/25/2054 (o)

 

13,555

 

13,556

6.000% due 08/25/2035

 

3,169

 

2,690

Citigroup Mortgage Loan Trust, Inc.
3.023% due 08/25/2035 ~

 

3,328

 

3,048

Commercial Mortgage Loan Trust
6.258% due 12/10/2049 ~(o)

 

9,780

 

4,448

Commercial Mortgage Trust

 

 

 

 

1.380% due 10/10/2048 ~(a)

 

28,636

 

1,493

5.701% due 06/10/2044 ~(o)

 

1,849

 

1,848

Countrywide Alternative Loan Trust

 

 

 

 

0.338% due 07/25/2046 ^•(o)

 

2,646

 

2,452

0.358% due 05/25/2047 •(o)

 

6,689

 

4,349

0.388% due 12/25/2046 ^•

 

502

 

334

0.398% due 10/25/2046 •(o)

 

619

 

604

0.546% due 12/20/2035 •

 

1,091

 

498

6.768% due 02/25/2035 ~

 

397

 

144

Countrywide Home Loan Mortgage Pass-Through Trust

 

 

 

 

0.848% due 05/25/2035 •(o)

 

5,664

 

3,464

0.848% due 05/25/2035 •

 

4,829

 

3,125

3.077% due 09/20/2036 ~

 

154

 

142

Credit Suisse Commercial Mortgage Trust

 

 

 

 

5.457% due 02/15/2040 ~

 

12,605

 

2,222

5.530% due 01/15/2049 ^~(e)

 

2,500

 

3,525

5.869% due 09/15/2040 ~

 

137

 

336

Credit Suisse First Boston Mortgage Securities Corp.

 

 

 

 

3.692% due 12/25/2033 ~

 

594

 

564

4.965% due 02/15/2038 ~

 

3,173

 

3,122

4.981% due 07/15/2037 ~

 

66

 

66

5.100% due 08/15/2038 ~(o)

 

1,437

 

1,362

Credit Suisse First Boston Mortgage-Backed Pass-Through Certificates
7.500% due 10/25/2032

 

1,045

 

778

Credit Suisse Mortgage Capital Certificates

 

 

 

 

0.325% due 10/27/2036 •(o)

 

18,683

 

14,011

0.676% due 11/30/2037 ~(o)

 

4,443

 

4,051

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

3.388% due 11/27/2037 ~(o)

 

5,422

 

5,103

16.448% due 06/27/2037 ~

 

834

 

515

Credit Suisse Mortgage Capital Mortgage-Backed Trust
6.500% due 07/25/2036

 

568

 

288

Credit Suisse Mortgage Capital Trust
3.303% due 07/10/2034 ~(o)

 

9,893

 

9,820

CTDL Trust

 

 

 

 

3.000% due 05/25/2055 ~(o)

 

14,020

 

14,096

4.750% due 05/25/2055 ~(o)

 

894

 

870

DBWF Mortgage Trust
2.556% due 12/19/2030 •(o)

 

5,000

 

4,609

Deutsche Mortgage Securities, Inc. Mortgage Loan Trust
3.557% due 09/28/2036 ~(o)

 

5,250

 

4,523

Dssv SARL
3.000% due 10/15/2024 «•(o)

EUR

45,368

 

52,260

European Residential Loan Securitisation DAC

 

 

 

 

1.974% due 03/24/2063 •

 

500

 

570

2.974% due 03/24/2063 •

 

1,100

 

1,254

Eurosail PLC

 

 

 

 

0.352% due 03/13/2045 •

 

250

 

233

0.859% due 12/15/2044 •(o)

GBP

4,614

 

5,001

1.410% due 06/13/2045 •(o)

 

5,421

 

5,742

3.560% (BP0003M + 3.500%) due 06/13/2045 ~(o)

 

2,218

 

2,622

4.060% due 06/13/2045 •

 

1,781

 

2,012

Exantas Capital Corp.

 

 

 

 

3.675% due 04/17/2037 •(o)

$

5,000

 

5,011

4.075% due 04/17/2037 •(o)

 

5,000

 

5,011

4.425% due 04/17/2037 •(o)

 

5,000

 

5,011

5.675% due 04/17/2037 •(o)

 

3,000

 

3,016

Finsbury Square PLC

 

 

 

 

0.000% due 06/16/2070 •(o)

GBP

1,800

 

2,363

0.000% due 06/16/2070 •

 

1,000

 

1,335

Fremont Home Loan Trust
2.248% due 01/25/2034 •

$

1,883

 

1,668

GCAT LLC
3.721% due 06/25/2025 þ(o)

 

28,076

 

28,140

GMAC Commercial Mortgage Asset Corp.
5.550% due 08/10/2038 (o)

 

1,418

 

1,552

GMAC Commercial Mortgage Securities, Inc. Trust
5.349% due 11/10/2045 ~

 

566

 

551

GS Mortgage Securities Corp. Trust

 

 

 

 

1.802% due 12/15/2036 •(o)

 

4,315

 

3,988

4.744% due 10/10/2032 ~(o)

 

5,820

 

5,161

GS Mortgage Securities Trust

 

 

 

 

0.000% due 07/25/2059 (b)(h)

 

147

 

146

0.000% due 07/25/2059 ~(a)

 

68,693

 

831

0.090% due 07/25/2059 ~(a)

 

63,125

 

257

3.500% due 07/25/2059 ~(o)

 

3,453

 

3,632

3.875% due 07/25/2059 ~(o)

 

11,327

 

9,971

3.875% due 07/25/2059 ~

 

1,081

 

943

5.622% due 11/10/2039

 

2,132

 

1,475

GSMSC Resecuritization Trust
4.072% due 09/26/2037 ~(o)

 

36,246

 

17,069

HarborView Mortgage Loan Trust

 

 

 

 

0.396% due 12/19/2036 ^•(o)

 

4,139

 

3,808

0.816% due 03/19/2035 •(o)

 

3,149

 

2,142

Hawksmoor Mortgage Funding PLC
3.562% due 05/25/2053 •

GBP

3,166

 

4,027

Hilton Orlando Trust
1.452% due 12/15/2034 •(o)

$

5,300

 

4,874

Hilton USA Trust
4.333% due 11/05/2038 ~

 

2,300

 

2,348

Homeward Opportunities Fund Trust

 

 

 

 

2.635% due 05/25/2065 ~(o)

 

5,400

 

5,561

3.196% due 05/25/2065 ~(o)

 

5,400

 

5,610

3.897% due 05/25/2065 ~(o)

 

6,600

 

6,857

5.450% due 05/25/2065 ~(o)

 

6,600

 

6,857

HSI Asset Loan Obligation Trust
6.500% due 06/25/2037 (o)

 

7,972

 

4,408

InTown Hotel Portfolio Trust

 

 

 

 

2.202% due 01/15/2033 •(o)

 

1,069

 

1,038

3.252% due 01/15/2033 •

 

250

 

246

J.P. Morgan Chase Commercial Mortgage Securities Trust
3.881% due 01/05/2031 ~

 

9,450

 

9,004

JPMorgan Chase Commercial Mortgage Securities Trust

 

 

 

 

2.410% due 06/15/2035 •(o)

 

3,576

 

3,401

3.500% due 07/15/2047 ~

 

10,000

 

1,718

5.411% due 05/15/2047

 

10,058

 

11,646

5.438% due 01/15/2049 ~

 

13,096

 

2,015

5.503% due 01/15/2049 ~

 

683

 

105

5.623% due 05/12/2045

 

1,138

 

1,020

5.855% due 06/12/2043 ~

 

2,125

 

2,131

5.885% due 06/12/2043 ~

 

3,172

 

1,955

6.011% due 06/15/2049 ~(o)

 

15,741

 

7,018

JPMorgan Mortgage Trust
3.443% due 06/25/2036 ^~

 

12

 

11

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

JPMorgan Resecuritization Trust
0.000% due 05/26/2036 ~(a)

 

8,475

 

2,418

KeyCorp Student Loan Trust
0.000% due 01/01/2050 «

 

400

 

46,401

LB-UBS Commercial Mortgage Trust

 

 

 

 

5.407% due 11/15/2038 ^(o)

 

6,413

 

3,576

6.275% due 04/15/2041 ~

 

4,768

 

4,801

Mansard Mortgages PLC
3.582% due 10/15/2048 •

GBP

2,995

 

3,677

MASTR Adjustable Rate Mortgages Trust
3.410% due 04/25/2035 ~

$

1,203

 

944

Merrill Lynch Mortgage Investors Trust
0.883% due 07/25/2029 •

 

859

 

809

MF1 Ltd.
3.152% due 07/15/2035 •(o)

 

11,000

 

10,379

MFA Trust

 

 

 

 

2.300% due 08/25/2049 ~(o)

 

1,937

 

1,952

3.071% due 08/25/2049 ~(o)

 

1,185

 

1,192

4.978% due 08/25/2049 ~(o)

 

6,143

 

6,185

Morgan Stanley Capital Trust

 

 

 

 

1.652% due 05/15/2036 •(o)

 

4,500

 

4,124

2.500% due 07/15/2053 (o)

 

1,499

 

1,286

5.495% due 11/14/2042 ~

 

7,500

 

5,966

6.215% due 06/11/2042 ~(o)

 

13,633

 

13,733

6.374% due 08/12/2041 ~

 

260

 

240

Morgan Stanley Resecuritization Trust
3.552% due 06/26/2046 ~(o)

 

7,731

 

6,120

Mortgage Equity Conversion Asset Trust
4.000% due 07/25/2060

 

77

 

75

Mortgage Funding PLC
3.260% due 03/13/2046 •

GBP

1,700

 

2,205

Motel 6 Trust
7.079% due 08/15/2024 •

$

911

 

759

Natixis Commercial Mortgage Securities Trust

 

 

 

 

3.152% due 11/15/2034 •(o)

 

1,826

 

1,662

4.152% due 11/15/2034 •

 

792

 

669

4.193% due 04/10/2037 ~(o)

 

7,000

 

6,501

Nomura Resecuritization Trust

 

 

 

 

2.807% due 10/26/2036 •(o)

 

14,048

 

13,083

4.861% due 07/26/2035 ~

 

268

 

257

RBSSP Resecuritization Trust
0.875% due 10/26/2037 •

 

2,658

 

789

Residential Accredit Loans, Inc. Trust
6.000% due 01/25/2037 ^

 

220

 

214

Residential Asset Securitization Trust
5.750% due 03/25/2037 ^

 

1,977

 

1,126

Residential Mortgage Securities PLC
0.000% due 06/20/2070 •

GBP

4,150

 

5,388

Seasoned Credit Risk Transfer Trust

 

 

 

 

4.250% due 11/25/2059 ~

$

5,400

 

5,305

6.108% due 11/25/2059 ~

 

10,298

 

4,121

Sequoia Mortgage Trust

 

 

 

 

0.606% due 10/20/2035 •

 

111

 

103

0.786% due 10/20/2035 •

 

251

 

224

0.806% due 07/20/2033 •

 

92

 

86

1.611% due 12/20/2032 •

 

351

 

296

Structured Adjustable Rate Mortgage Loan Trust

 

 

 

 

0.678% due 12/25/2034 •

 

2,090

 

1,446

0.798% due 10/25/2035 •(o)

 

5,181

 

4,184

Structured Asset Mortgage Investments Trust
0.358% due 09/25/2047 ^•(o)

 

2,833

 

2,920

TBW Mortgage-Backed Trust
6.330% due 09/25/2036 þ(o)

 

5,000

 

2,409

TDA Mixto Fondo de Titulizacion de Activos
0.000% due 12/28/2050 •

EUR

12,100

 

11,752

TDA Pastor 1 Fondo de Titulizacion de Activos
0.000% due 10/28/2050 •

 

31,043

 

20,556

Wachovia Bank Commercial Mortgage Trust
5.720% due 10/15/2048 ~(o)

$

1,528

 

1,486

WaMu Mortgage Pass-Through Certificates Trust

 

 

 

 

1.048% due 04/25/2045 •(o)

 

9,724

 

7,135

1.153% due 07/25/2045 •(o)

 

16,456

 

10,752

1.789% due 05/25/2047 •

 

2,331

 

885

2.182% due 08/25/2046 •(o)

 

10,427

 

8,595

3.630% due 05/25/2035 ~

 

498

 

299

Wells Fargo Mortgage-Backed Securities Trust
3.085% due 08/25/2035 ~

 

1,472

 

1,052

Worldwide Plaza Trust
3.715% due 11/10/2036 ~(o)

 

10,500

 

10,295

Total Non-Agency Mortgage-Backed Securities (Cost $736,042)

 

 

 

731,379

ASSET-BACKED SECURITIES 41.1%

 

 

 

 

555 Post Street
7.000% due 11/01/2021 «

 

866

 

872

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Acacia CDO 5 Ltd.
1.298% due 11/08/2039 •

 

29,250

 

14,786

Accredited Mortgage Loan Trust

 

 

 

 

0.438% due 02/25/2037 •(o)

 

5,235

 

3,540

6.000% due 10/25/2034 þ

 

1,863

 

1,716

ACE Securities Corp. Home Equity Loan Trust

 

 

 

 

0.428% due 04/25/2036 •(o)

 

7,247

 

5,772

0.793% due 12/25/2035 •(o)

 

2,765

 

2,316

1.108% due 08/25/2035 •

 

3,504

 

1,926

1.423% due 02/25/2035 •(o)

 

13,736

 

11,903

Aegis Asset-Backed Securities Trust
1.848% due 03/25/2035 •

 

3,100

 

622

Aegis Asset-Backed Securities Trust Mortgage Pass-Through Certificates
3.298% due 09/25/2034 •

 

638

 

607

Alkali Europe SARL
3.000% due 05/15/2021 «•(o)

EUR

34,856

 

40,254

Argent Securities, Inc. Asset-Backed Pass-Through Certificates
0.528% due 02/25/2036 •

$

255

 

233

Avoca CLO DAC
0.000% due 10/15/2030 ~

EUR

2,250

 

1,458

Ballyrock CLO Ltd.
0.000% due 04/20/2031 ~

$

29,803

 

12,935

Banco Bilbao Vizcaya Argentaria S.A.
0.146% due 03/22/2046 •

EUR

822

 

607

Bear Stearns Asset-Backed Securities Trust

 

 

 

 

0.348% due 08/25/2035 •

$

9,673

 

9,147

0.798% due 08/25/2036 •(o)

 

3,612

 

2,448

Belle Haven ABS CDO Ltd.
0.526% due 07/05/2046 •

 

96,561

 

242

Bombardier Capital Mortgage Securitization Corp.
7.850% due 12/15/2029 ~

 

4,066

 

1,136

California Republic Auto Receivables Trust
0.000% due 04/15/2025 «(h)

 

6,994

 

6,686

Cardiff Auto Receivables Securitisation
2.306% due 09/16/2025 •(o)

GBP

1,700

 

2,155

Carlyle Global Market Strategies CLO Ltd.
0.000% due 04/17/2031 ~

$

2,900

 

1,192

CDC Mortgage Capital Trust
2.698% due 06/25/2034 •

 

659

 

613

Cedar Funding CLO Ltd.
0.000% due 04/20/2031 ~

 

12,000

 

7,969

Citigroup Mortgage Loan Trust
1.048% due 11/25/2045 •

 

2,756

 

1,904

Citigroup Mortgage Loan Trust, Inc.
1.288% due 02/25/2035 •

 

240

 

236

Conseco Finance Securitizations Corp.

 

 

 

 

7.150% due 05/01/2033 ~

 

1,757

 

1,721

8.260% due 12/01/2030 ~

 

16,114

 

6,884

8.850% due 12/01/2030 ~

 

19,044

 

6,893

Consumer Loan Underlying Bond Certificate Issuer Trust

 

 

 

 

25.747% due 10/15/2043 «~

 

5,408

 

4,821

25.847% due 12/15/2043 «~

 

6,783

 

5,946

Cornwallis
7.460% due 01/01/2022 «

 

155

 

162

Coronado CDO Ltd.

 

 

 

 

1.751% due 09/04/2038 •

 

2,188

 

1,263

6.000% due 09/04/2038

 

313

 

257

Countrywide Asset-Backed Certificates

 

 

 

 

0.468% due 02/25/2037 ^•

 

2,700

 

2,316

0.568% due 06/25/2036 •(o)

 

3,783

 

2,833

0.583% due 01/25/2045 ^•(o)

 

3,400

 

2,803

0.588% due 06/25/2036 •

 

2,017

 

1,935

0.638% due 04/25/2036 •

 

2,000

 

1,404

0.788% due 02/25/2036 •

 

2,298

 

1,487

0.988% due 01/25/2036 •

 

3,291

 

2,484

Countrywide Asset-Backed Certificates Trust

 

 

 

 

2.023% due 10/25/2035 •(o)

 

11,710

 

9,987

2.248% due 08/25/2035 •

 

3,371

 

2,307

Countrywide Asset-Backed Certificates Trust, Inc.
2.323% due 07/25/2034 •

 

132

 

133

Crecera Americas LLC
5.563% due 08/31/202
1 «•

 

2,522

 

2,519

Credit Suisse First Boston Mortgage Securities Corp.
5.350% due 05/25/2035 þ(o)

 

978

 

866

Credit-Based Asset Servicing & Securitization LLC

 

 

 

 

5.783% due 12/25/2036 þ

 

1,800

 

1,973

6.767% due 05/25/2035 þ

 

2,321

 

1,937

Delta Funding Home Equity Loan Trust
8.100% due 01/15/2030 þ(o)

 

2,618

 

2,033

Deutsche Mortgage & Asset Receiving Corp. Re-securitization Trust
0.000% due 12/26/2035 (h)(o)

 

1,634

 

1,030

ECAF Ltd.
3.473% due 06/15/2040

 

7,362

 

6,824

Flagship Credit Auto Trust

 

 

 

 

0.000% due 05/15/2025 «(h)

 

20

 

1,637

0.000% due 12/15/2025 «(h)

 

33

 

4,242

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Fremont Home Loan Trust
0.468% due 02/25/2036 •(o)

 

9,900

 

6,668

Greenpoint Manufactured Housing
9.230% due 12/15/2029 ~

 

161

 

138

Groupe Novasep
11.000% due 03/21/2022 «(m)

 

1,776

 

1,280

GSAMP Trust

 

 

 

 

0.428% due 05/25/2046 •

 

2,764

 

2,329

0.448% due 06/25/2036 •(o)

 

7,055

 

5,561

0.588% due 12/25/2035 •(o)

 

6,811

 

4,334

0.928% due 09/25/2035 •(o)

 

4,094

 

2,912

1.048% due 07/25/2045 •

 

1,277

 

884

1.398% due 03/25/2034 ^•(o)

 

3,953

 

3,539

1.873% due 08/25/2034 •

 

1,269

 

1,275

1.898% due 12/25/2034 •(o)

 

8,381

 

6,434

Harley Marine Financing LLC
7.869% due 05/15/2043 «

 

2,000

 

1,085

Harvest CLO DAC
0.000% due 05/22/2029 ~

EUR

2,000

 

1,138

Hout Bay Corp.

 

 

 

 

1.627% due 07/05/2041 •

$

14,361

 

3,303

1.827% due 07/05/2041 •

 

8,111

 

588

1.957% due 07/05/2041 •

 

3,290

 

235

Huntington CDO Ltd.
1.041% due 11/05/2040 •

 

15,671

 

15,320

JPMorgan Mortgage Acquisition Trust

 

 

 

 

0.488% due 04/25/2036 •(o)

 

6,067

 

4,461

4.854% due 11/25/2036 þ

 

2,294

 

2,767

KeyCorp Student Loan Trust
1.000% due 01/01/2050 «

 

200

 

30,944

Labrador Aviation Finance Ltd.
4.300% due 01/15/2042 (o)

 

8,017

 

7,247

Lakeside CDO Ltd/Lakeside CDO, Inc.

 

 

 

 

1.340% due 01/03/2040 •

 

17,530

 

7,691

1.340% due 01/04/2040 •

 

23,455

 

10,301

LNR CDO Ltd.
0.425% due 02/28/2043 •

 

3,289

 

376

Long Beach Mortgage Loan Trust

 

 

 

 

0.338% due 02/25/2036 •

 

159

 

136

1.063% due 08/25/2035 •

 

1,550

 

1,298

1.273% due 06/25/2035 •(o)

 

15,016

 

12,257

2.023% due 04/25/2035 •(o)

 

4,334

 

3,592

M360 Advisors LLC
6.121% due 07/24/2028 (o)

 

8,350

 

8,347

Man GLG Euro CLO DAC
0.000% due 10/15/2030 ~

EUR

1,762

 

975

Marlette Funding Trust

 

 

 

 

0.000% due 07/17/2028 «(h)

$

10

 

1,018

0.000% due 04/16/2029 «(h)

 

12

 

1,749

0.000% due 07/16/2029 «(h)

 

4

 

588

0.000% due 03/15/2030 «(h)

 

11

 

2,551

MASTR Asset-Backed Securities Trust

 

 

 

 

0.763% due 01/25/2036 •(o)

 

8,855

 

8,352

5.998% due 12/25/2032 •(o)

 

480

 

324

Mercury CDO Ltd.
1.194% due 12/08/2040 •

 

9,400

 

8,098

Merrill Lynch Mortgage Investors Trust
1.018% due 05/25/2036 •(o)

 

7,664

 

6,155

Morgan Stanley ABS Capital, Inc. Trust

 

 

 

 

0.218% due 10/25/2036 •

 

265

 

173

0.853% due 11/25/2035 •(o)

 

5,817

 

4,870

5.773% due 09/25/2033 •

 

1,579

 

1,402

Morgan Stanley Capital, Inc. Trust
0.518% due 01/25/2036 •(o)

 

4,000

 

3,363

Morgan Stanley Home Equity Loan Trust
1.213% due 05/25/2035 •(o)

 

5,569

 

4,127

N-Star REL CDO Ltd.
0.593% due 02/01/2041 •

 

2,044

 

1,442

New Century Home Equity Loan Trust
0.618% due 02/25/2036 •(o)

 

7,000

 

5,673

Nomura Home Equity Loan, Inc. Home Equity Loan Trust

 

 

 

 

0.558% due 11/25/2035 •(o)

 

11,976

 

7,447

1.228% due 09/25/2035 •(o)

 

3,000

 

2,421

NovaStar Mortgage Funding Trust
1.033% due 01/25/2036 •(o)

 

3,885

 

3,237

Orient Point CDO Ltd.
0.574% due 10/03/2045 •(o)

 

124,053

 

50,404

Palisades CDO Ltd.
1.208% due 07/22/2039 •

 

15,700

 

6,746

Park Place Securities, Inc. Asset-Backed Pass-Through Certificates

 

 

 

 

1.618% due 01/25/2035 ^•(o)

 

1,730

 

1,387

2.098% due 02/25/2035 •(o)

 

6,028

 

5,261

Plainfield Commons
7.330% due 03/01/2022 «

 

2,233

 

2,236

Putnam Structured Product Funding Ltd.
1.584% due 10/15/2038 •

 

4,200

 

3,150

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Santander Consumer Auto Receivables Trust
0.000% due 08/15/2028 «(h)

 

30

 

4,357

Securitized Asset-Backed Receivables LLC Trust

 

 

 

 

1.123% due 12/25/2034 •(o)

 

1,227

 

1,128

1.123% due 04/25/2035 •(o)

 

2,854

 

2,211

SG Mortgage Securities Trust
0.328% due 02/25/2036 •(o)

 

5,426

 

3,910

Sierra Madre Funding Ltd.

 

 

 

 

0.534% due 09/07/2039 •

 

17,296

 

15,817

0.794% due 09/07/2039 •

 

16,000

 

2,163

1.034% due 09/07/2039 •

 

8,500

 

1,094

SMB Private Education Loan Trust

 

 

 

 

0.000% due 09/15/2045 «(h)

 

15

 

1,780

0.000% due 09/18/2046 «(h)

 

10

 

5,123

0.000% due 10/15/2048 «(h)

 

15

 

8,270

0.000% due 09/15/2054 (a)(h)

 

7,138

 

14,652

SoFi Consumer Loan Program LLC

 

 

 

 

0.000% due 05/26/2026 «(h)

 

75

 

2,125

0.000% due 11/25/2026 «(h)

 

60

 

1,573

SoFi Professional Loan Program LLC

 

 

 

 

0.000% due 07/25/2040 «(h)

 

29

 

750

0.000% due 09/25/2040 (h)

 

4,400

 

1,520

South Coast Funding Ltd.

 

 

 

 

1.551% due 08/06/2039 •

 

26,710

 

12,299

3.751% due 08/06/2039 •

 

30,782

 

3

START Ireland
4.089% due 03/15/2044 (o)

 

3,034

 

2,858

Stillwater Place
5.428% due 06/01/2024 «

 

1,890

 

1,968

Structured Asset Securities Corp.
1.348% due 02/25/2035 •

 

414

 

375

Structured Asset Securities Corp. Mortgage Loan Trust

 

 

 

 

0.348% due 06/25/2037 •(o)

 

3,300

 

2,273

0.378% due 02/25/2037 •(o)

 

9,589

 

7,665

0.388% due 01/25/2037 •(o)

 

7,800

 

4,786

0.408% due 05/25/2047 •(o)

 

10,000

 

8,093

Summer Street Ltd.
0.498% due 12/06/2045 •

 

37,344

 

12,081

Terwin Mortgage Trust
3.902% due 07/25/2036 þ

 

456

 

390

Towd Point Mortgage Trust
5.500% due 11/25/2058 ~(o)

 

9,826

 

10,380

Wells Fargo Home Equity Asset-Backed Securities Trust
2.698% due 11/25/2035 •

 

250

 

233

Westridge Business
7.420% due 01/01/2022 «

 

598

 

626

Total Asset-Backed Securities (Cost $689,758)

 

 

 

622,064

SOVEREIGN ISSUES 2.9%

 

 

 

 

Argentina Government International Bond

 

 

 

 

1.000% due 08/05/2021 (j)(o)

ARS

3,125

 

21

15.500% due 10/17/2026 (o)

 

47,041

 

136

16.000% due 10/17/2023

 

868

 

3

29.406% (BADLARPP + 0.000%) due 10/04/2022 ~(o)

 

3,184

 

26

31.641% (BADLARPP + 2.000%) due 04/03/2022 ~(o)

 

55,100

 

370

Argentine Republic Government International Bond

 

 

 

 

0.125% due 07/09/2030 þ

$

230

 

96

0.125% due 07/09/2035 þ

 

805

 

303

0.125% due 01/09/2038 þ

 

16,591

 

7,113

0.125% due 07/09/2041 þ

 

3,177

 

1,267

1.000% due 07/09/2029

 

949

 

433

Autonomous City of Buenos Aires Argentina

 

 

 

 

32.858% (BADLARPP + 3.250%) due 03/29/2024 ~(o)

ARS

328,937

 

2,036

34.633% (BADLARPP + 5.000%) due 01/23/2022 ~

 

66,000

 

446

Dominican Republic International Bond

 

 

 

 

5.875% due 01/30/2060 (o)

$

6,400

 

6,080

9.750% due 06/05/2026

DOP

300,400

 

5,441

Ghana Government International Bond

 

 

 

 

6.375% due 02/11/2027 (o)

$

1,100

 

994

7.875% due 02/11/2035 (o)

 

1,100

 

932

8.750% due 03/11/2061

 

400

 

339

Provincia de Buenos Aires

 

 

 

 

33.378% due 04/12/2025 (o)

ARS

93,337

 

551

33.378% due 04/12/2025

 

25,911

 

153

33.497% due 05/31/2022 (o)

 

32,451

 

193

South Africa Government International Bond

 

 

 

 

4.850% due 09/30/2029 (o)

$

2,200

 

2,105

5.750% due 09/30/2049 (o)

 

1,800

 

1,532

Turkey Government International Bond

 

 

 

 

3.250% due 06/14/2025

EUR

100

 

108

4.625% due 03/31/2025 (o)

 

2,200

 

2,523

5.200% due 02/16/2026 (o)

 

700

 

809

5.250% due 03/13/2030 (o)

$

2,800

 

2,500

7.625% due 04/26/2029 (o)

 

2,400

 

2,477

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Turkiye Ihracat Kredi Bankasi A/S
8.250% due 01/24/2024 (o)

 

200

 

204

Ukraine Government International Bond

 

 

 

 

4.375% due 01/27/2030 (o)

EUR

3,304

 

3,174

7.750% due 09/01/2026 (o)

$

1,400

 

1,396

Venezuela Government International Bond

 

 

 

 

6.000% due 12/09/2020 ^(e)

 

85

 

7

8.250% due 10/13/2024 ^(e)

 

650

 

52

9.250% due 09/15/2027 ^(e)

 

65

 

5

Total Sovereign Issues (Cost $54,509)

 

 

 

43,825

 

 

SHARES

 

 

COMMON STOCKS 2.6%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

Clear Channel Outdoor Holdings, Inc. (f)

 

725,704

 

726

iHeartMedia, Inc. «(f)

 

542

 

4

iHeartMedia, Inc. 'A' (f)

 

40,383

 

328

 

 

 

 

1,058

CONSUMER DISCRETIONARY 0.0%

 

 

 

 

Caesars Entertainment, Inc. (f)

 

1

 

0

FINANCIALS 1.0%

 

 

 

 

Associated Materials Group, Inc «(f)(m)

 

2,418,841

 

15,360

INDUSTRIALS 0.9%

 

 

 

 

McDermott International Ltd. (f)

 

992,452

 

2,382

Neiman Marcus Group Ltd. LLC «(f)(m)

 

178,186

 

11,056

Westmoreland Mining Holdings LLC «(f)(m)

 

63,729

 

478

 

 

 

 

13,916

UTILITIES 0.6%

 

 

 

 

TexGen Power LLC «

 

273,307

 

9,292

Total Common Stocks (Cost $41,937)

 

 

 

39,626

WARRANTS 1.4%

 

 

 

 

COMMUNICATION SERVICES 0.1%

 

 

 

 

iHeartMedia, Inc. - Exp. 05/01/2039 «

 

263,015

 

1,870

FINANCIALS 0.0%

 

 

 

 

Stearns Holdings LLC - Exp. 11/05/2039 «

 

286,876

 

0

INFORMATION TECHNOLOGY 1.3%

 

 

 

 

Windstream Services LLC - Exp. 03/24/2021 «

 

1,366,281

 

18,636

Total Warrants (Cost $16,301)

 

 

 

20,506

PREFERRED SECURITIES 5.1%

 

 

 

 

BANKING & FINANCE 4.1%

 

 

 

 

Banco Santander S.A.
6.250% due 09/11/2021 •(k)(l)(o)

 

2,500,000

 

2,933

Charles Schwab Corp.
5.375% due 06/01/2025 •(k)(o)

 

1,300

 

1,412

Nationwide Building Society
10.250% ~(o)

 

151,500

 

31,962

Stichting AK Rabobank Certificaten
0.000% due 12/29/2049 (i)(k)(o)

 

20,003,000

 

28,006

 

 

 

 

64,313

INDUSTRIALS 0.1%

 

 

 

 

General Electric Co.
5.000% due 01/21/2021 •(k)

 

299,000

 

239

Sequa Corp. (12.000% PIK)
12.000% «(d)

 

1,002

 

828

 

 

 

 

1,067

UTILITIES 0.9%

 

 

 

 

AT&T Mobility LLC
7.000% due 10/20/2022 «(k)(m)

 

484,024

 

13,094

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Total Preferred Securities (Cost $74,676)

 

 

 

78,474

REAL ESTATE INVESTMENT TRUSTS 0.4%

 

 

 

 

REAL ESTATE 0.4%

 

 

 

 

Uniti Group, Inc.

 

544,155

 

5,733

Total Real Estate Investment Trusts (Cost $3,444)

 

 

 

5,733

SHORT-TERM INSTRUMENTS 10.5%

 

 

 

 

REPURCHASE AGREEMENTS (n) 10.2%

 

 

 

154,788

 

 

PRINCIPAL
AMOUNT

(000s)

 

 

SHORT-TERM NOTES 0.0%

 

 

 

 

Argentina Treasury Bond BONCER
1.100% due 04/17/2021 (j)(o)

ARS

61,861

 

421

ARGENTINA TREASURY BILLS 0.1%

 

 

 

 

23.478% due 10/13/2020 - 01/29/2021 (g)(h)

 

120,720

 

801

U.S. TREASURY BILLS 0.2%

 

 

 

 

0.091% due 10/08/2020 - 10/15/2020 (g)(h)(o)(q)

$

3,723

 

3,723

Total Short-Term Instruments (Cost $159,982)

 

 

 

159,733

Total Investments in Securities (Cost $3,010,506)

 

 

 

2,918,206

Total Investments 192.7% (Cost $3,010,506)

 

 

$

2,918,206

Financial Derivative Instruments (p)(r) 0.4%(Cost or Premiums, net $2,231)

 

 

 

5,569

Other Assets and Liabilities, net (93.1)%

 

 

 

(1,409,175)

Net Assets 100.0%

 

 

$

1,514,600

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

 

NOTES TO CONSOLIDATED SCHEDULE OF INVESTMENTS:

 

* A zero balance may reflect actual amounts rounding to less than one thousand.

 

¤

The geographical classification of foreign (non-U.S.) securities in this report, if any, are classified by the country of incorporation of a holding. In certain instances, a security's country of incorporation may be different from its country of economic exposure.

^

Security is in default.

«

Security valued using significant unobservable inputs (Level 3).

µ

All or a portion of this amount represents unfunded loan commitments. The interest rate for the unfunded portion will be determined at the time of funding.

~

Variable or Floating rate security. Rate shown is the rate in effect as of period end. Certain variable rate securities are not based on a published reference rate and spread, rather are determined by the issuer or agent and are based on current market conditions. Reference rate is as of reset date, which may vary by security. These securities may not indicate a reference rate and/or spread in their description.

Rate shown is the rate in effect as of period end. The rate may be based on a fixed rate, a capped rate or a floor rate and may convert to a variable or floating rate in the future. These securities do not indicate a reference rate and spread in their description.

Þ

Coupon represents a rate which changes periodically based on a predetermined schedule or event. Rate shown is the rate in effect as of period end.

(a)

Security is an Interest Only ("IO") or IO Strip.

(b)

Principal only security.

(c)

When-issued security.

(d)

Payment in-kind security.

(e)

Security is not accruing income as of the date of this report.

(f)

Security did not produce income within the last twelve months.

(g)

Coupon represents a weighted average yield to maturity.

(h)

Zero coupon security.

(i)

Security becomes interest bearing at a future date.

(j)

Principal amount of security is adjusted for inflation.

(k)

Perpetual maturity; date shown, if applicable, represents next contractual call date.

(l)

Contingent convertible security.

(m)

RESTRICTED SECURITIES:

Issuer Description

 

 

Acquisition
Date

 

Cost

 

Market
Value

Market Value
as Percentage

of Net Assets

AT&T Mobility LLC 7.000% due 10/20/2022

 

 

09/24/2020

$

13,092

$

13,094

0.87

%

Associated Materials Group, Inc

 

 

08/24/2020

 

15,360

 

15,360

1.01

 

Churchill Capital Corp. 6.000% due 09/30/2027

 

 

07/10/2020

 

10,335

 

10,104

0.67

 

Groupe Novasep 11.000% due 03/21/2022

 

 

11/01/2019

 

1,732

 

1,280

0.09

 

Merrill Lynch Mortgage Investors Trust 8.000% due 12/01/2020

 

 

10/02/2018 - 11/14/2019

 

36,985

 

36,329

2.40

 

Neiman Marcus Group Ltd. LLC

 

 

09/25/2020

 

5,828

 

11,056

0.73

 

Otterham Property Finance Designated Activity Co. 3.000% due 09/03/2026

 

 

09/26/2019

 

38,599

 

40,338

2.66

 

Preylock Reitman Santa Cruz Mezz LLC TBD% due 11/09/2022

 

 

04/09/2018

 

8,097

 

7,613

0.50

 

Project Anfora Senior 2.750% due 10/01/2026

 

 

09/30/2019

 

42,637

 

44,698

2.95

 

Westmoreland Mining Holdings LLC

 

 

04/09/2018 - 08/31/2018

 

726

 

478

0.03

 

 

 

 

 

$

173,391

$

180,350

11.91%

BORROWINGS AND OTHER FINANCING TRANSACTIONS

(n)

REPURCHASE AGREEMENTS:

Counterparty

Lending
Rate

Settlement
Date

Maturity
Date

 

Principal
Amount

Collateralized By

 

Collateral
(Received)

 

Repurchase
Agreements,

at Value

 

Repurchase
Agreement

Proceeds

to be

Received
(1)

BOS

0.110%

10/01/2020

10/02/2020

$

54,400

U.S. Treasury Bonds 1.125% due 05/15/2040

$

(55,351)

$

54,400

$

54,400

FICC

0.000

09/30/2020

10/01/2020

 

11,488

U.S. Treasury Inflation Protected Securities 0.625% due 07/15/2021

 

(11,718)

 

11,488

 

11,488

JPS

0.110

09/30/2020

10/01/2020

 

41,700

U.S. Treasury Bonds 3.000% due 11/15/2044

 

(42,257)

 

41,700

 

41,700

NOM

0.110

09/30/2020

10/01/2020

 

47,200

U.S. Treasury Bonds 3.000% due 11/15/2044

 

(47,862)

 

47,200

 

47,200

Total Repurchase Agreements

 

$

(157,188)

$

154,788

$

154,788

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

REVERSE REPURCHASE AGREEMENTS:

Counterparty

Borrowing Rate(2)

Settlement Date

Maturity Date

 

Amount
Borrowed
(2)

 

Payable for
Reverse

Repurchase

Agreements

BOS

0.949%

08/05/2020

11/05/2020

$

(12,969)

$

(12,988)

 

0.973

09/29/2020

03/17/2021

 

(2,389)

 

(2,389)

 

1.049

08/05/2020

11/05/2020

 

(1,639)

 

(1,642)

 

1.203

09/03/2020

03/04/2021

 

(3,487)

 

(3,491)

 

1.403

09/03/2020

03/04/2021

 

(11,085)

 

(11,097)

BPS

(0.250)

09/08/2020

12/08/2020

EUR

(11,087)

 

(12,997)

 

(0.250)

09/17/2020

12/08/2020

 

(196)

 

(229)

 

0.050

09/04/2020

12/04/2020

 

(2,217)

 

(2,599)

 

0.400

09/15/2020

10/20/2020

$

(1,558)

 

(1,558)

 

0.500

08/04/2020

TBD(3)

 

(83)

 

(84)

 

0.520

09/09/2020

12/08/2020

 

(7,569)

 

(7,572)

 

0.580

07/16/2020

10/16/2020

GBP

(978)

 

(1,264)

 

0.700

09/15/2020

10/20/2020

$

(5,648)

 

(5,650)

 

0.750

09/02/2020

10/07/2020

 

(1,067)

 

(1,067)

 

0.800

08/21/2020

10/23/2020

 

(9,638)

 

(9,646)

 

0.800

08/25/2020

11/23/2020

 

(4,684)

 

(4,687)

 

0.800

09/22/2020

10/27/2020

 

(10,506)

 

(10,508)

 

0.850

09/15/2020

10/20/2020

 

(3,411)

 

(3,412)

 

1.000

08/04/2020

TBD(3)

 

(9,980)

 

(9,992)

 

1.504

02/12/2019

TBD(3)

 

(8,422)

 

(8,439)

 

1.518

07/13/2020

10/16/2020

 

(2,671)

 

(2,680)

 

1.553

08/19/2020

11/23/2020

 

(1,351)

 

(1,354)

 

1.553

08/21/2020

11/24/2020

 

(6,422)

 

(6,434)

 

1.599

08/06/2020

11/06/2020

 

(7,174)

 

(7,192)

BRC

0.500

07/29/2020

10/29/2020

 

(6,045)

 

(6,051)

 

0.850

08/06/2020

TBD(3)

 

(1,864)

 

(1,866)

 

0.880

08/25/2020

02/22/2021

 

(22,295)

 

(22,315)

 

0.880

09/03/2020

02/22/2021

 

(7,138)

 

(7,143)

 

0.900

08/11/2020

TBD(3)

 

(2,174)

 

(2,177)

 

0.950

08/06/2020

TBD(3)

 

(1,560)

 

(1,563)

 

1.215

07/31/2020

02/01/2021

 

(8,343)

 

(8,360)

 

1.365

07/31/2020

02/01/2021

 

(8,938)

 

(8,960)

 

1.400

09/08/2020

12/07/2020

 

(11,729)

 

(11,740)

 

1.400

09/10/2020

12/07/2020

 

(10,327)

 

(10,335)

 

1.441

09/01/2020

12/04/2020

 

(6,734)

 

(6,742)

 

1.491

08/31/2020

12/01/2020

 

(3,700)

 

(3,705)

 

1.817

07/28/2020

01/28/2021

 

(2,058)

 

(2,065)

 

1.917

07/28/2020

01/28/2021

 

(1,269)

 

(1,273)

BYR

1.404

08/10/2020

03/31/2021

 

(7,797)

 

(7,815)

CDC

0.400

08/05/2020

TBD(3)

 

(450)

 

(451)

 

0.400

09/14/2020

11/13/2020

 

(8,825)

 

(8,827)

 

0.400

09/16/2020

11/16/2020

 

(752)

 

(752)

 

0.400

09/18/2020

11/16/2020

 

(28,005)

 

(28,009)

 

0.400

09/21/2020

10/26/2020

 

(394)

 

(394)

 

0.450

09/01/2020

11/03/2020

 

(2,511)

 

(2,512)

CEW

0.800

09/04/2020

12/04/2020

 

(6,131)

 

(6,134)

 

0.801

09/09/2020

12/08/2020

 

(4,697)

 

(4,699)

 

0.846

08/31/2020

12/02/2020

 

(5,364)

 

(5,368)

 

0.850

08/04/2020

10/05/2020

 

(824)

 

(825)

 

0.850

09/15/2020

11/17/2020

 

(4,615)

 

(4,616)

 

0.888

09/09/2020

03/08/2021

 

(2,600)

 

(2,602)

 

0.900

08/03/2020

11/03/2020

 

(159)

 

(159)

 

0.924

08/12/2020

10/13/2020

 

(3,089)

 

(3,093)

 

0.925

09/15/2020

03/16/2021

 

(3,044)

 

(3,045)

 

0.950

09/15/2020

11/17/2020

 

(5,464)

 

(5,466)

 

1.024

08/12/2020

10/13/2020

 

(8,303)

 

(8,315)

 

1.050

08/04/2020

10/05/2020

 

(6,655)

 

(6,666)

 

1.075

09/15/2020

03/16/2021

 

(17,000)

 

(17,008)

 

1.082

09/14/2020

03/15/2021

 

(12,645)

 

(12,652)

 

1.125

09/23/2020

03/24/2021

 

(5,825)

 

(5,826)

 

1.132

09/14/2020

03/15/2021

 

(9,444)

 

(9,450)

 

1.325

09/23/2020

03/24/2021

 

(3,939)

 

(3,940)

CFR

(1.700)

09/15/2020

TBD(3)

EUR

(1,650)

 

(1,933)

 

0.750

08/05/2020

TBD(3)

$

(477)

 

(478)

 

2.250

07/16/2020

02/23/2021

EUR

(92,674)

 

(109,180)

 

2.250

07/29/2020

02/23/2021

 

(27,453)

 

(32,334)

CSG

0.650

08/05/2020

TBD(3)

$

(3,906)

 

(3,910)

 

0.650

09/30/2020

TBD(3)

 

(2,595)

 

(2,595)

 

0.900

08/27/2020

TBD(3)

 

(21,152)

 

(21,171)

 

0.950

08/05/2020

TBD(3)

 

(4,127)

 

(4,134)

DBL

(0.300)

09/14/2020

10/14/2020

EUR

(457)

 

(535)

 

(0.150)

08/14/2020

11/16/2020

 

(323)

 

(379)

 

0.000

09/14/2020

10/14/2020

 

(1,991)

 

(2,334)

 

0.867

08/13/2020

11/16/2020

GBP

(1,476)

 

(1,907)

 

0.917

08/13/2020

11/16/2020

 

(1,590)

 

(2,054)

 

0.967

08/13/2020

11/16/2020

 

(3,438)

 

(4,442)

FOB

0.450

08/04/2020

TBD(3)

$

(5,207)

 

(5,211)

 

0.450

09/25/2020

TBD(3)

 

(1,973)

 

(1,973)

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

 

0.900

08/27/2020

TBD(3)

 

(38)

 

(38)

GLM

1.200

09/15/2020

11/17/2020

 

(23,871)

 

(23,883)

 

1.323

09/24/2020

03/24/2021

 

(33,866)

 

(33,875)

 

1.414

08/25/2020

02/24/2021

 

(10,089)

 

(10,104)

 

1.673

07/16/2020

10/16/2020

 

(7,801)

 

(7,829)

 

1.723

07/16/2020

10/16/2020

 

(775)

 

(778)

 

2.052

07/01/2020

10/02/2020

 

(33,151)

 

(33,325)

GSC

0.750

09/16/2020

10/19/2020

 

(3,853)

 

(3,855)

IND

0.340

09/02/2020

12/02/2020

 

(2,742)

 

(2,743)

 

0.410

09/01/2020

10/01/2020

 

(11,175)

 

(11,179)

 

0.460

09/02/2020

12/02/2020

 

(2,000)

 

(2,001)

 

0.470

09/01/2020

11/02/2020

 

(6,902)

 

(6,905)

 

0.600

10/01/2020

03/30/2021

 

(10,827)

 

(10,827)

JML

(0.100)

07/17/2020

10/16/2020

EUR

(917)

 

(1,075)

 

0.150

04/28/2020

TBD(3)

 

(2,614)

 

(3,066)

 

0.400

09/09/2020

12/09/2020

GBP

(654)

 

(844)

 

0.450

07/14/2020

10/14/2020

 

(10,036)

 

(12,962)

 

0.450

07/15/2020

10/15/2020

 

(13,376)

 

(17,277)

 

0.450

07/17/2020

10/16/2020

 

(4,300)

 

(5,554)

 

0.450

08/17/2020

11/17/2020

 

(20,120)

 

(25,977)

 

0.450

08/28/2020

11/30/2020

 

(3,042)

 

(3,926)

 

1.150

09/09/2020

10/05/2020

$

(5,751)

 

(5,755)

 

1.542

08/04/2020

11/04/2020

GBP

(1,316)

 

(1,702)

MBC

(0.250)

09/17/2020

10/19/2020

EUR

(9,471)

 

(11,103)

 

1.260

09/22/2020

11/23/2020

$

(5,437)

 

(5,439)

 

1.280

09/22/2020

11/23/2020

 

(6,344)

 

(6,346)

MEI

(0.100)

09/10/2020

10/09/2020

EUR

(3,455)

 

(4,050)

MSB

0.815

10/01/2020

03/31/2021

$

(4,600)

 

(4,600)

 

0.865

10/01/2020

03/31/2021

 

(4,500)

 

(4,500)

 

0.965

10/01/2020

03/31/2021

 

(4,250)

 

(4,250)

 

1.015

10/01/2020

03/31/2021

 

(2,400)

 

(2,400)

 

1.149

08/24/2020

02/24/2021

 

(7,925)

 

(7,935)

MZF

1.814

07/24/2020

10/22/2020

 

(7,901)

 

(7,929)

NOM

0.550

09/25/2020

10/30/2020

 

(13,325)

 

(13,326)

 

0.650

09/29/2020

10/29/2020

 

(1,802)

 

(1,802)

 

0.750

09/25/2020

10/30/2020

 

(1,835)

 

(1,835)

 

0.850

08/27/2020

TBD(3)

 

(1,357)

 

(1,358)

 

0.850

09/23/2020

03/23/2021

 

(878)

 

(878)

 

1.000

09/25/2020

10/30/2020

 

(3,688)

 

(3,688)

 

1.200

08/27/2020

TBD(3)

 

(5,724)

 

(5,731)

RTA

0.806

08/24/2020

11/23/2020

 

(3,071)

 

(3,073)

SBI

1.323

09/16/2020

03/19/2021

 

(18,967)

 

(18,978)

 

1.325

09/23/2020

03/22/2021

 

(4,699)

 

(4,701)

 

1.349

09/17/2020

02/22/2021

 

(3,490)

 

(3,491)

 

1.425

09/23/2020

03/22/2021

 

(3,865)

 

(3,866)

 

1.487

08/14/2020

02/16/2021

 

(10,217)

 

(10,237)

 

1.554

08/13/2020

11/16/2020

 

(11,625)

 

(11,650)

 

1.588

08/17/2020

02/17/2021

 

(4,975)

 

(4,985)

 

1.606

08/06/2020

02/05/2021

 

(6,137)

 

(6,152)

 

1.615

08/03/2020

02/03/2021

 

(9,243)

 

(9,267)

 

1.858

07/23/2020

10/21/2020

 

(1,040)

 

(1,044)

SCX

0.850

09/14/2020

10/16/2020

 

(2,061)

 

(2,062)

SOG

0.420

09/21/2020

10/26/2020

 

(346)

 

(346)

 

0.420

09/24/2020

10/27/2020

 

(9,982)

 

(9,983)

 

0.450

08/05/2020

TBD(3)

 

(650)

 

(651)

 

0.550

07/30/2020

10/29/2020

 

(2,656)

 

(2,658)

 

0.550

08/20/2020

10/29/2020

 

(992)

 

(993)

 

0.620

09/24/2020

10/27/2020

 

(428)

 

(428)

 

0.620

09/30/2020

10/30/2020

 

(13,832)

 

(13,832)

 

0.620

10/02/2020

11/04/2020

 

(1,414)

 

(1,414)

 

0.650

09/17/2020

10/22/2020

 

(5,434)

 

(5,436)

 

0.650

09/21/2020

10/26/2020

 

(11,646)

 

(11,648)

 

0.650

09/22/2020

10/23/2020

 

(5,181)

 

(5,182)

 

0.650

09/22/2020

10/27/2020

 

(40,848)

 

(40,854)

 

0.700

07/15/2020

TBD(3)

 

(5,134)

 

(5,141)

 

0.700

07/21/2020

TBD(3)

 

(3,372)

 

(3,376)

 

0.700

07/22/2020

TBD(3)

 

(8,172)

 

(8,184)

 

0.700

08/05/2020

TBD(3)

 

(9,255)

 

(9,265)

 

0.700

08/28/2020

10/02/2020

 

(1,483)

 

(1,484)

 

0.700

08/28/2020

TBD(3)

 

(2,548)

 

(2,550)

 

0.700

09/25/2020

TBD(3)

 

(18,378)

 

(18,380)

 

0.820

09/09/2020

12/08/2020

 

(5,718)

 

(5,721)

 

0.830

08/19/2020

10/21/2020

 

(18,501)

 

(18,520)

 

0.830

08/20/2020

10/22/2020

 

(384)

 

(384)

 

0.860

09/25/2020

03/25/2021

 

(26,629)

 

(26,632)

 

0.870

09/11/2020

01/07/2021

 

(860)

 

(860)

 

0.870

09/11/2020

01/15/2021

 

(855)

 

(855)

 

0.870

09/11/2020

03/10/2021

 

(11,946)

 

(11,952)

 

0.870

09/16/2020

03/17/2021

 

(11,775)

 

(11,779)

 

0.950

07/30/2020

02/01/2021

 

(7,402)

 

(7,415)

 

1.324

09/25/2020

03/26/2021

 

(29,449)

 

(29,456)

 

1.499

08/04/2020

11/05/2020

 

(4,415)

 

(4,426)

 

2.043

05/11/2020

11/12/2020

 

(13,059)

 

(13,098)

 

2.049

05/08/2020

11/03/2020

 

(5,945)

 

(5,964)

 

2.053

05/20/2020

11/20/2020

 

(2,812)

 

(2,819)

TDM

0.380

08/27/2020

TBD(3)

 

(200)

 

(200)

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

 

0.380

09/09/2020

TBD(3)

 

(6,901)

 

(6,903)

UBS

0.000

09/14/2020

10/14/2020

EUR

(2,330)

 

(2,732)

 

0.100

09/11/2020

10/12/2020

 

(2,047)

 

(2,401)

 

0.450

09/08/2020

12/07/2020

$

(844)

 

(845)

 

0.500

07/28/2020

TBD(3)

 

(23,184)

 

(23,205)

 

0.550

09/24/2020

10/30/2020

GBP

(8,646)

 

(11,157)

 

0.650

08/28/2020

TBD(3)

$

(801)

 

(801)

 

0.650

09/14/2020

TBD(3)

 

(5,040)

 

(5,041)

 

0.650

09/18/2020

TBD(3)

 

(2,042)

 

(2,043)

 

0.700

09/11/2020

10/12/2020

GBP

(1,850)

 

(2,388)

 

0.700

09/15/2020

10/15/2020

$

(5,412)

 

(5,413)

 

0.700

09/25/2020

10/27/2020

 

(2,788)

 

(2,788)

 

0.700

09/30/2020

10/26/2020

 

(13,312)

 

(13,312)

 

0.800

08/31/2020

11/30/2020

 

(578)

 

(578)

 

0.800

09/09/2020

12/08/2020

 

(6,408)

 

(6,411)

 

0.900

08/03/2020

11/03/2020

 

(10,322)

 

(10,337)

 

0.900

09/30/2020

10/13/2020

 

(940)

 

(940)

 

1.000

07/17/2020

10/15/2020

 

(989)

 

(991)

 

1.250

07/17/2020

10/15/2020

 

(222)

 

(223)

 

1.510

09/15/2020

12/15/2020

GBP

(1,887)

 

(2,436)

 

1.539

08/07/2020

02/03/2021

$

(4,718)

 

(4,729)

 

1.606

08/05/2020

02/05/2021

 

(493)

 

(494)

 

1.615

07/31/2020

02/01/2021

 

(3,989)

 

(4,000)

 

1.625

07/24/2020

01/20/2021

 

(3,880)

 

(3,892)

 

1.916

07/13/2020

10/13/2020

 

(8,888)

 

(8,926)

 

2.766

07/13/2020

10/13/2020

 

(3,965)

 

(3,989)

Total Reverse Repurchase Agreements

 

 

 

 

 

$

(1,367,477)

(o)

Securities with an aggregate market value of $1,662,321 and cash of $6,490 have been pledged as collateral under the terms of master agreements as of September 30, 2020.

(1)

Includes accrued interest.

(2)

The average amount of borrowings outstanding during the period ended September 30, 2020 was $(1,137,185) at a weighted average interest rate of 1.275%. Average borrowings may include reverse repurchase agreements and sale-buyback transactions, if held during the period.

(3)

Open maturity reverse repurchase agreement.

(p)

FINANCIAL DERIVATIVE INSTRUMENTS: EXCHANGE-TRADED OR CENTRALLY CLEARED

FUTURES CONTRACTS:

SHORT FUTURES CONTRACTS

 

Variation Margin

Description

 

 

 

Expiration
Month

 

# of
Contracts

 

Notional
Amount

 

 

Unrealized
Appreciation/

(Depreciation)

 

Asset

 

Liability

U.S. Treasury 30-Year Bond December Futures

12/2020

 

2

$

(353)

 

$

3

$

2

$

0

Total Futures Contracts

 

$

3

$

2

$

0

SWAP AGREEMENTS:

CREDIT DEFAULT SWAPS ON CORPORATE ISSUES - SELL PROTECTION(1)

 

Variation Margin

Reference Entity

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at

September 30, 2020
(2)

 

Notional
Amount
(3)

 

Premiums
Paid/

(Received)

 

Unrealized
Appreciation/

(Depreciation)

 

Market
Value
(4)

 

Asset

 

Liability

Bombardier, Inc.

5.000%

Quarterly

06/20/2024

14.785

%

$

1,100

$

(2)

$

(266)

$

(268)

$

4

$

0

Bombardier, Inc.

5.000

Quarterly

12/20/2024

14.848

 

 

600

 

0

 

(158)

 

(158)

 

1

 

0

Rolls-Royce PLC

1.000

Quarterly

06/20/2025

5.037

 

EUR

6,200

 

(1,152)

 

(37)

 

(1,189)

 

0

 

(29)

Rolls-Royce PLC

1.000

Quarterly

12/20/2025

5.156

 

 

8,100

 

(1,694)

 

(38)

 

(1,732)

 

0

 

(35)

 

 

 

 

 

 

$

(2,848)

$

(499)

$

(3,347)

$

5

$

(64)

INTEREST RATE SWAPS

 

Variation Margin

Pay/
Receive

Floating Rate

Floating Rate Index

Fixed Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount

 

Premiums
Paid/

(Received)

 

Unrealized
Appreciation/

(Depreciation)

 

Market
Value

 

Asset

 

Liability

Pay

3-Month USD-LIBOR

1.500%

Semi-Annual

06/21/2027

$

11,500

$

(834)

$

1,657

$

823

$

0

$

(20)

Pay

3-Month USD-LIBOR

2.500

Semi-Annual

12/20/2027

 

2,500

 

40

 

333

 

373

 

0

 

(5)

Pay

3-Month USD-LIBOR

2.250

Semi-Annual

06/20/2028

 

58,100

 

(3,466)

 

11,304

 

7,838

 

0

 

(118)

Pay

3-Month USD-LIBOR

3.000

Semi-Annual

06/19/2029

 

59,000

 

4,765

 

7,733

 

12,498

 

0

 

(139)

Pay(5)

3-Month USD-LIBOR

1.000

Semi-Annual

12/16/2030

 

53,800

 

1,769

 

(444)

 

1,325

 

0

 

(157)

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Receive

3-Month USD-LIBOR

1.150

Semi-Annual

09/20/2050

 

24,300

 

55

 

(120)

 

(65)

 

327

 

0

Receive

6-Month EUR-EURIBOR

0.150

Annual

03/18/2030

EUR

4,400

 

81

 

(132)

 

(51)

 

0

 

0

Receive

6-Month EUR-EURIBOR

0.150

Annual

06/17/2030

 

900

 

(1)

 

(41)

 

(42)

 

0

 

0

Receive

6-Month EUR-EURIBOR

0.250

Annual

03/18/2050

 

4,400

 

244

 

(672)

 

(428)

 

3

 

0

Receive

6-Month EUR-EURIBOR

0.500

Annual

06/17/2050

 

13,500

 

(99)

 

(2,453)

 

(2,552)

 

12

 

0

Receive

6-Month GBP-LIBOR

0.750

Semi-Annual

03/18/2030

GBP

14,990

 

156

 

(862)

 

(706)

 

31

 

0

Receive

6-Month GBP-LIBOR

0.750

Semi-Annual

03/18/2050

 

13,700

 

288

 

(1,250)

 

(962)

 

78

 

0

 

 

 

 

 

 

$

2,998

$

15,053

$

18,051

$

451

$

(439)

Total Swap Agreements

$

150

$

14,554

$

14,704

$

456

$

(503)

(q)

Securities with an aggregate market value of $2,716 and cash of $23,605 have been pledged as collateral for exchange-traded and centrally cleared financial derivative instruments as of September 30, 2020.

(1)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate or sovereign issues as of period end serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(3)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(4)

The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(5)

This instrument has a forward starting effective date.

(r)

FINANCIAL DERIVATIVE INSTRUMENTS: OVER THE COUNTER

FORWARD FOREIGN CURRENCY CONTRACTS:

 

Unrealized Appreciation/(Depreciation)

Counterparty

Settlement
Month

 

Currency to
be Delivered

 

Currency to
be Received

 

Asset

 

Liability

BOA

10/2020

EUR

20,835

$

24,773

$

345

$

0

 

10/2020

GBP

2,092

 

2,781

 

81

 

0

 

10/2020

$

1,448

GBP

1,078

 

0

 

(57)

BPS

10/2020

RUB

7,914

$

111

 

9

 

0

 

10/2020

$

932

CLP

716,888

 

0

 

(19)

 

11/2020

EUR

91,546

$

107,422

 

18

 

0

BRC

10/2020

 

79,011

 

94,556

 

1,919

 

0

 

10/2020

$

13,310

EUR

11,215

 

0

 

(161)

CBK

10/2020

GBP

63,068

$

83,356

 

1,976

 

0

 

10/2020

RUB

29,893

 

416

 

31

 

0

 

10/2020

$

77

PEN

270

 

0

 

(2)

 

11/2020

MXN

5,192

$

228

 

0

 

(5)

GLM

10/2020

EUR

1,161

 

1,378

 

17

 

0

 

10/2020

RUB

5,570

 

77

 

6

 

0

 

11/2020

GBP

58,324

 

74,832

 

0

 

(439)

 

03/2021

DOP

297,111

 

4,996

 

35

 

0

MYI

10/2020

BRL

1,513

 

270

 

0

 

0

 

10/2020

EUR

1,754

 

2,063

 

7

 

0

 

10/2020

$

268

BRL

1,513

 

1

 

0

 

10/2020

 

7,413

GBP

5,758

 

17

 

0

Total Forward Foreign Currency Contracts

$

4,462

$

(683)

SWAP AGREEMENTS:

CREDIT DEFAULT SWAPS ON ASSET-BACKED SECURITIES - BUY PROTECTION(1)

 

Swap Agreements, at Value(5)

Counterparty

Reference Obligation

Fixed
(Pay) Rate

Payment
Frequency

Maturity
Date

 

Notional
Amount
(4)

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/

(Depreciation)

 

Asset

 

Liability

GST

Citigroup Commercial Mortgage Trust 5.482% due 10/15/2049

(0.500)%

Monthly

10/15/2049

$

6,501

$

390

$

(72)

$

318

$

0

 

GMAC Commercial Mortgage Securities, Inc. 5.349% due 11/10/2045

(0.125)

Monthly

11/10/2045

 

566

 

170

 

(156)

 

14

 

0

 

Morgan Stanley Capital Trust 5.545% due 11/14/2042

(0.240)

Monthly

11/14/2042

 

7,500

 

1,350

 

183

 

1,533

 

0

 

 

 

 

 

 

$

1,910

$

(45)

$

1,865

$

0

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

CREDIT DEFAULT SWAPS ON CORPORATE AND SOVEREIGN ISSUES - SELL PROTECTION(2)

 

Swap Agreements, at Value(5)

Counterparty

Reference Entity

Fixed
Receive Rate

Payment
Frequency

Maturity
Date

Implied
Credit Spread at

September 30, 2020
(3)

 

Notional
Amount
(4)

 

Premiums
Paid/(Received)

 

Unrealized
Appreciation/

(Depreciation)

 

Asset

 

Liability

BRC

Ukraine Government International Bond

5.000%

Quarterly

12/20/2022

5.357%

$

3,100

$

190

$

(209)

$

0

$

(19)

GST

Teva Pharmaceutical Finance Co. BV

1.000

Quarterly

06/20/2022

2.986

 

340

 

(19)

 

8

 

0

 

(11)

 

 

 

 

 

 

 

$

171

$

(201)

$

0

$

(30)

Total Swap Agreements

$

2,081

$

(246)

$

1,865

$

(30)

(1)

If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(2)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash, securities or other deliverable obligations equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

(3)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate or sovereign issues as of period end serve as indicators of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(4)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(5)

The prices and resulting values for credit default swap agreements serve as indicators of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the underlying referenced instrument's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

FAIR VALUE MEASUREMENTS

The following is a summary of the fair valuations according to the inputs used as of September 30, 2020 in valuing the Fund's assets and liabilities:

 

Category and Subcategory

Level 1

Level 2

Level 3

Fair Value
at 09/30/2020

Investments in Securities, at Value

Loan Participations and Assignments

$

0

$

174,252

$

188,431

$

362,683

 

Corporate Bonds & Notes

 

Banking & Finance

 

0

 

249,170

 

0

 

249,170

 

 

Industrials

 

0

 

448,956

 

0

 

448,956

 

 

Utilities

 

0

 

103,676

 

0

 

103,676

 

Convertible Bonds & Notes

 

Banking & Finance

 

0

 

2,884

 

0

 

2,884

 

 

Industrials

 

0

 

9,621

 

0

 

9,621

 

 

Utilities

 

0

 

2

 

0

 

2

 

Municipal Bonds & Notes

 

Illinois

 

0

 

16

 

0

 

16

 

 

Texas

 

0

 

121

 

0

 

121

 

 

West Virginia

 

0

 

135

 

0

 

135

 

U.S. Government Agencies

 

0

 

39,602

 

0

 

39,602

 

Non-Agency Mortgage-Backed Securities

 

0

 

622,614

 

108,765

 

731,379

 

Asset-Backed Securities

 

0

 

486,902

 

135,162

 

622,064

 

Sovereign Issues

 

0

 

43,825

 

0

 

43,825

 

Common Stocks

 

Communication Services

 

1,054

 

0

 

4

 

1,058

 

 

Financials

 

0

 

0

 

15,360

 

15,360

 

 

Industrials

 

2,382

 

0

 

11,534

 

13,916

 

 

Utilities

 

0

 

0

 

9,292

 

9,292

 

Warrants

 

Communication Services

 

0

 

0

 

1,870

 

1,870

 

 

Information Technology

 

0

 

0

 

18,636

 

18,636

 

Preferred Securities

 

Banking & Finance

 

0

 

64,313

 

0

 

64,313

 

 

Industrials

 

0

 

239

 

828

 

1,067

 

 

Utilities

 

0

 

0

 

13,094

 

13,094

 

Real Estate Investment Trusts

 

Real Estate

 

5,733

 

0

 

0

 

5,733

 

Asset-Backed Securities

 

0

 

0

 

0

 

0

 

Short-Term Instruments

 

Repurchase Agreements

 

0

 

154,788

 

0

 

154,788

 

 

Short-Term Notes

 

0

 

421

 

0

 

421

 

 

Argentina Treasury Bills

 

0

 

801

 

0

 

801

 

 

U.S. Treasury Bills

 

0

 

3,723

 

0

 

3,723

 

Total Investments

$

9,169

$

2,406,061

$

502,976

$

2,918,206

 

Short Sales, at Value - Liabilities

Asset-Backed Securities

$

0

$

0

$

0

$

0

 

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

Financial Derivative Instruments - Assets

Exchange-traded or centrally cleared

 

2

 

456

 

0

 

458

 

Over the counter

 

0

 

6,327

 

0

 

6,327

 

 

$

2

$

6,783

$

0

$

6,785

 

Financial Derivative Instruments - Liabilities

Exchange-traded or centrally cleared

 

0

 

(503)

 

0

 

(503)

 

Over the counter

 

0

 

(713)

 

0

 

(713)

 

 

$

0

$

(1,216)

$

0

$

(1,216)

 

Total Financial Derivative Instruments

$

2

$

5,567

$

0

$

5,569

 

Totals

$

9,171

$

2,411,628

$

502,976

$

2,923,775

 

 

 

 

The following is a reconciliation of the fair valuations using significant unobservable inputs (Level 3) for the Fund during the period ended September 30, 2020:

Category and Subcategory

Beginning
Balance

at 06/30/2020

Net
Purchases

Net
Sales/Settlements

Accrued
Discounts/

(Premiums)

Realized
Gain/(Loss)

Net Change in
Unrealized

Appreciation/

(Depreciation)
(1)

Transfers into
Level 3

Transfers out
of Level 3

Ending
Balance

at 09/30/2020

Net Change in
Unrealized

Appreciation/

(Depreciation)

on Investments

Held at

09/30/2020
(1)

Investments in Securities, at Value

Loan Participations and Assignments

$

245,448

$

14,605

$

(47,905)

$

486

$

(22,294)

$

22,056

$

4,720

$

(28,685)

$

188,431

$

4,110

Non-Agency Mortgage-Backed Securities

 

101,175

 

10,335

 

(259)

 

2

 

8

 

3,219

 

0

 

(5,715)

 

108,765

 

3,218

Asset-Backed Securities

 

133,788

 

4,712

 

(9,180)

 

(16)

 

(1,113)

 

4,445

 

2,526

 

0

 

135,162

 

3,225

Common Stocks

 

Communication Services

 

4

 

0

 

0

 

0

 

0

 

0

 

0

 

0

 

4

 

0

 

Financials

 

0

 

15,360

 

0

 

0

 

0

 

0

 

0

 

0

 

15,360

 

0

 

Industrials

 

4,150

 

5,828

 

0

 

0

 

0

 

5,228

 

0

 

(3,672)

 

11,534

 

5,228

 

Real Estate

 

4,822

 

0

 

0

 

0

 

0

 

0

 

0

 

(4,822)

 

0

 

0

 

Utilities

 

8,814

 

0

 

0

 

0

 

0

 

478

 

0

 

0

 

9,292

 

478

Warrants

 

Communication Services

 

0

 

0

 

0

 

0

 

0

 

(326)

 

2,196

 

0

 

1,870

 

(326)

 

Information Technology

 

0

 

11,530

 

0

 

0

 

0

 

7,106

 

0

 

0

 

18,636

 

7,106

Preferred Securities

 

Industrials

 

725

 

25

 

0

 

0

 

0

 

78

 

0

 

0

 

828

 

78

 

Utilities

 

0

 

13,092

 

0

 

0

 

0

 

2

 

0

 

0

 

13,094

 

2

Totals

$

498,926

$

75,487

$

(57,344)

$

472

$

(23,399)

$

42,286

$

9,442

$

(42,894)

$

502,976

$

23,119


The following is a summary of significant unobservable inputs used in the fair valuations of assets and liabilities categorized within Level 3 of the fair value hierarchy:

 

(% Unless Noted Otherwise)

 

Category and Subcategory

Ending
Balance

at 09/30/2020

Valuation Technique

Unobservable Inputs

 

Input Value(s)

Weighted Average

Investments in Securities, at Value

Loan Participations and Assignments

$

166,140

Discounted Cash Flow

Discount Rate

 

4.221 - 15.000

6.223

 

 

6,129

Other Valuation Techniques(2)

 

 

 

35

Proxy Pricing

Base Price

 

100.000

 

 

16,127

Third Party Vendor

Broker Quote

 

80.000 - 99.250

81.158

Non-Agency Mortgage-Backed Securities

 

52,260

Discounted Cash Flow

Discount Rate

 

4.476

 

 

46,401

Proxy Pricing

Base Price

 

6,261.000 - 16,860.000

13,326.914

 

 

10,104

Reference Instrument

Volatility

 

30.000

Asset-Backed Securities

 

54,342

Discounted Cash Flow

Discount Rate

 

2.460 - 22.430

6.045

 

 

3,628

Other Valuation Techniques(2)

 

 

 

77,192

Proxy Pricing

Base Price

 

72.500 - 53,708.770

19,040.134

Common Stocks

 

Communication Services

 

4

Other Valuation Techniques(2)

 

 

Financials

 

15,360

Fundamental Valuation

Company Equity Value

$

635,000,000.000

 

Industrials

 

478

Other Valuation Techniques(2)

 

 

 

 

11,056

Recent Transaction

Purchase Price

 

62.050

 

Utilities

 

9,292

Indicative Market Quotation

Broker Quote

$

34.000

Warrants

 

Communication Services

 

1,870

Other Valuation Techniques(2)

 

 

Information Technology

 

18,636

Discounted Cash Flow

Yield

 

13.640

Preferred Securities

 

Industrials

 

828

Fundamental Valuation

Company Equity Value

$

627,426,093.000

 

Utilities

 

13,094

Recent Transaction

Purchase Price

$

27.048

Total

$

502,976

Consolidated Schedule of Investments PIMCO Flexible Credit Income Fund (Cont.)

September 30, 2020

(Unaudited)

 

(1)

Any difference between Net Change in Unrealized Appreciation/(Depreciation) and Net Change in Unrealized Appreciation/(Depreciation) on Investments Held at September 30, 2020 may be due to an investment no longer held or categorized as Level 3 at period end.

(2)

Includes valuation techniques not defined in the Notes to Financial Statements as securities valued using such techniques are not considered significant to the Fund.

 

Notes to Financial Statements  

1. BASIS FOR CONSOLIDATION

PFLEXLS I LLC, CLM 13648 LLC and MLM 13648 LLC (each a “Subsidiary” and, collectively, the “Subsidiaries”), each a Delaware limited liability company, were formed as wholly owned subsidiaries acting as investment vehicles for the PIMCO Flexible Credit Income Fund (the “Fund”) in order to effect certain investments for the Fund consistent with the Fund’s investment objectives and policies in effect from time to time. The Fund’s investment portfolio has been consolidated and includes the portfolio holdings of the Fund and the Subsidiaries. Accordingly, the consolidated financial statements include the accounts of the Fund and the Subsidiaries. All inter-company transactions and balances have been eliminated. This structure was established so that certain loans could be held by a separate legal entity from the Fund. See the table below for details regarding the structure, incorporation as of the period end of the Subsidiaries.

 

Subsidiary

 

Date of Incorporation

Subscription Agreement

Subsidiary % of Consolidated Portfolio Net Assets

PFLEXLS I LLC

 

12/01/2017

01/092018

1.2%

CLM 13468 LLC

 

03/29/2018

04/30/2018

0.0

MLM 13648 LLC 

 

04/03/2018

04/30/2018

2.4

 

2. INVESTMENT VALUATION AND FAIR VALUE MEASUREMENTS

(a) Investment Valuation Policies The net asset value (“NAV”) of the Fund's shares is determined by dividing the total value of portfolio investments and other assets attributable to that Fund less any liabilities by the total number of shares outstanding of the Fund.

 

On each day that the New York Stock Exchange (“NYSE”) is open, Fund shares are ordinarily valued as of the close of regular trading (normally 4:00 p.m., Eastern time) (“NYSE Close”). Information that becomes known to the Fund or its agents after the time as of which NAV has been calculated on a particular day will not generally be used to retroactively adjust the price of a security or the NAV determined earlier that day. If regular trading on the NYSE closes earlier than scheduled, the Fund reserves the right to either (i) calculate its NAV as of the earlier closing time or (ii) calculate its NAV as of the normally scheduled close of regular trading on the NYSE for that day. The Fund generally does not calculate its NAV on days during which the NYSE is closed. However, if the NYSE is closed on a day it would normally be open for business, the Fund reserves the right to calculate its NAV as of the normally scheduled close of regular trading on the NYSE for that day or such other time that the Fund may determine.

 

For purposes of calculating a NAV, portfolio securities and other assets for which market quotes are readily available are valued at market value. Market value is generally determined on the basis of official closing prices or the last reported sales prices, or if no sales are reported, based on quotes obtained from established market makers or prices (including evaluated prices) supplied by the Fund's approved pricing services, quotation reporting systems and other third-party sources (together, “Pricing Services”). The Fund will normally use pricing data for domestic equity securities received shortly after the NYSE Close and does not normally take into account trading, clearances or settlements that take place after the NYSE Close. If market value pricing is used, a foreign (non-U.S.) equity security traded on a foreign exchange or on more than one exchange is typically valued using pricing information from the exchange considered by Pacific Investment Management Company LLC (“PIMCO” or the “Manager”) to be the primary exchange. A foreign (non-U.S.) equity security will be valued as of the close of trading on the foreign exchange, or the NYSE Close, if the NYSE Close occurs before the end of trading on the foreign exchange. Domestic and foreign (non-U.S.) fixed income securities, non-exchange traded derivatives, and equity options are normally valued on the basis of quotes obtained from brokers and dealers or Pricing Services using data reflecting the earlier closing of the principal markets for those securities. Prices obtained from Pricing Services may be based on, among other things, information provided by market makers or estimates of market values obtained from yield data relating to investments or securities with similar characteristics. Certain fixed income securities purchased on a delayed-delivery basis are marked to market daily until settlement at the forward settlement date. Exchange-traded options, except equity options, futures and options on futures are valued at the settlement price determined by the relevant exchange. Swap agreements are valued on the basis of bid quotes obtained from brokers and dealers or market-based prices supplied by Pricing Services. The Fund's investments in open-end management investment companies, other than exchange-traded funds (“ETFs”), are valued at the NAVs of such investments.

 

If a foreign (non-U.S.) equity security’s value has materially changed after the close of the security’s primary exchange or principal market but before the NYSE Close, the security may be valued at fair value based on procedures established and approved by the Fund’s Board of Trustees (the “Board”). Foreign (non-U.S.) equity securities that do not trade when the NYSE is open are also valued at fair value. With respect to foreign (non-U.S.) equity securities, the Fund may determine the fair value of investments based on information provided by Pricing Services and other third-party vendors, which may recommend fair value or adjustments with reference to other securities, indices or assets. In considering whether fair valuation is required and in determining fair values, the Fund may, among other things, consider significant events (which may be considered to include changes in the value of U.S. securities or securities indices) that occur after the close of the relevant market and before the NYSE Close. The Fund may utilize modeling tools provided by third-party vendors to determine fair values of foreign (non-U.S.) securities. For these purposes, any movement in the applicable reference index or instrument (“zero trigger”) relating to the foreign (non-U.S.) security being fair valued between the earlier close of the applicable foreign market and the NYSE Close may be deemed to be a significant event, prompting the application of the pricing model (effectively resulting in daily fair valuations). Foreign exchanges may permit trading in foreign (non-U.S.) equity securities on days when the Fund is not open for business, which may result in the Fund's portfolio investments being affected when shareholders are unable to buy or sell shares.

 

Senior secured floating rate loans for which an active secondary market exists to a reliable degree are valued at the mean of the last available bid/ask prices in the market for such loans, as provided by a Pricing Service. Senior secured floating rate loans for which an active secondary market does not exist to a reliable degree are valued at fair value, which is intended to approximate market value. In valuing a senior secured floating rate loan at fair value, the factors considered may include, but are not limited to, the following: (a) the creditworthiness of the borrower and any intermediate participants, (b) the terms of the loan, (c) recent prices in the market for similar loans, if any, and (d) recent prices in the market for instruments of similar quality, rate, period until next interest rate reset and maturity.

 

Whole loans may be fair valued using inputs that take into account borrower- or loan-level data (e.g., credit risk of the borrower) that is updated periodically throughout the life of each individual loan; any new borrower- or loan-level data received in written reports periodically by the Fund normally will be taken into account in calculating the NAV. The Fund’s whole loan investments, including those originated by the Fund or through an alternative lending platform, generally are fair valued in accordance with procedures approved by the Board.

 

Investments valued in currencies other than the U.S. dollar are converted to the U.S. dollar using exchange rates obtained from Pricing Services. As a result, the value of such investments and, in turn, the NAV of the Fund's shares may be affected by changes in the value of currencies in relation to the U.S. dollar. The value of investments traded in

 

 

Notes to Financial Statements (Cont.)

 

markets outside the United States or denominated in currencies other than the U.S. dollar may be affected significantly on a day that the Fund is not open for business. As a result, to the extent that the Fund holds foreign (non-U.S.) investments, the value of those investments may change at times when shareholders are unable to buy or sell shares and the value of such investments will be reflected in the Fund's next calculated NAV.

 

Investments for which market quotes or market based valuations are not readily available are valued at fair value as determined in good faith by the Board or persons acting at their direction. The Board has adopted methods for valuing securities and other assets in circumstances where market quotes are not readily available, and has delegated to PIMCO the responsibility for applying the fair valuation methods. In the event that market quotes or market based valuations are not readily available, and the security or asset cannot be valued pursuant to a Board approved valuation method, the value of the security or asset will be determined in good faith by the Board. Market quotes are considered not readily available in circumstances where there is an absence of current or reliable market-based data (e.g., trade information, bid/ask information, indicative market quotations (“Broker Quotes”), Pricing Services’ prices), including where events occur after the close of the relevant market, but prior to the NYSE Close, that materially affect the values of the Fund's securities or assets. In addition, market quotes are considered not readily available when, due to extraordinary circumstances, the exchanges or markets on which the securities trade do not open for trading for the entire day and no other market prices are available. The Board has delegated, to the Manager, the responsibility for monitoring significant events that may materially affect the values of the Fund's securities or assets and for determining whether the value of the applicable securities or assets should be reevaluated in light of such significant events.

 

When the Fund uses fair valuation to determine the value of a portfolio security or other asset for purposes of calculating its NAV, such investments will not be priced on the basis of quotes from the primary market in which they are traded, but rather may be priced by another method that the Board or persons acting at their direction believe reflects fair value. Fair valuation may require subjective determinations about the value of a security. While the Fund’s policy is intended to result in a calculation of the Fund’s NAV that fairly reflects security values as of the time of pricing, the Fund cannot ensure that fair values determined by the Board or persons acting at their direction would accurately reflect the price that the Fund could obtain for a security if it were to dispose of that security as of the time of pricing (for instance, in a forced or distressed sale). The prices used by the Fund may differ from the value that would be realized if the securities were sold.

 

(b) Fair Value Hierarchy U.S. GAAP describes fair value as the price that the Fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. It establishes a fair value hierarchy that prioritizes inputs to valuation methods and requires disclosure of the fair value hierarchy, separately for each major category of assets and liabilities, that segregates fair value measurements into levels (Level 1, 2, or 3). The inputs or methodology used for valuing securities are not necessarily an indication of the risks associated with investing in those securities. Levels 1, 2, and 3 of the fair value hierarchy are defined as follows:

 

• Level 1 — Quoted prices in active markets or exchanges for identical assets and liabilities.

 

• Level 2 — Significant other observable inputs, which may include, but are not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market corroborated inputs.

 

• Level 3 — Significant unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available, which may include assumptions made by the Board or persons acting at their direction that are used in determining the fair value of investments.

 

Assets or liabilities categorized as Level 2 or 3 as of period end have been transferred between Levels 2 and 3 since the prior period due to changes in the method utilized in valuing the investments. Transfers from Level 2 to Level 3 are a result of a change, in the normal course of business, from the use of methods used by Pricing Services (Level 2) to the use of a Broker Quote or valuation technique which utilizes significant unobservable inputs due to an absence of current or reliable market-based data (Level 3). Transfers from Level 3 to Level 2 are a result of the availability of current and reliable market-based data provided by Pricing Services or other valuation techniques which utilize significant observable inputs. In accordance with the requirements of U.S. GAAP, the amounts of transfers into and out of Level 3, if material, are disclosed in the Notes to Consolidated Schedule of Investments for the Fund.

 

For fair valuations using significant unobservable inputs, U.S. GAAP requires a reconciliation of the beginning to ending balances for reported fair values that presents changes attributable to realized gain (loss), unrealized appreciation (depreciation), purchases and sales, accrued discounts (premiums), and transfers into and out of the Level 3 category during the period. The end of period value is used for the transfers between Levels of the Fund's assets and liabilities. Additionally, U.S. GAAP requires quantitative information regarding the significant unobservable inputs used in the determination of fair value of assets or liabilities categorized as Level 3 in the fair value hierarchy. In accordance with the requirements of U.S. GAAP, a fair value hierarchy, and if material, a Level 3 reconciliation and details of significant unobservable inputs, have been included in the Notes to Schedule of Investments for the Fund.

 

(c) Valuation Techniques and the Fair Value Hierarchy

Level 1 and Level 2 trading assets and trading liabilities, at fair value The valuation methods (or “techniques”) and significant inputs used in determining the fair values of portfolio securities or other assets and liabilities categorized as Level 1 and Level 2 of the fair value hierarchy are as follows:

 

Fixed income securities including corporate, convertible and municipal bonds and notes, U.S. government agencies, U.S. treasury obligations, sovereign issues, bank loans, convertible preferred securities and non-U.S. bonds are normally valued on the basis of quotes obtained from brokers and dealers or Pricing Services that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. The Pricing Services' internal models use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Fixed income securities purchased on a delayed-delivery basis or as a repurchase commitment in a sale-buyback transaction are marked to market daily until settlement at the forward settlement date and are categorized as Level 2 of the fair value hierarchy.

 

Mortgage-related and asset-backed securities are usually issued as separate tranches, or classes, of securities within each deal. These securities are also normally valued by Pricing Services that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. The pricing models for these securities usually consider

 

 

Notes to Financial Statements (Cont.)

 

tranche-level attributes, current market data, estimated cash flows and market-based yield spreads for each tranche, and incorporate deal collateral performance, as available. Mortgage-related and asset-backed securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Common stocks, ETFs, exchange-traded notes and financial derivative instruments, such as futures contracts, rights and warrants, or options on futures that are traded on a national securities exchange, are stated at the last reported sale or settlement price on the day of valuation. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

 

Valuation adjustments may be applied to certain securities that are solely traded on a foreign exchange to account for the market movement between the close of the foreign market and the NYSE Close. These securities are valued using Pricing Services that consider the correlation of the trading patterns of the foreign security to the intraday trading in the U.S. markets for investments. Securities using these valuation adjustments are categorized as Level 2 of the fair value hierarchy. Preferred securities and other equities traded on inactive markets or valued by reference to similar instruments are also categorized as Level 2 of the fair value hierarchy.

 

Equity exchange-traded options and over the counter financial derivative instruments, such as forward foreign currency contracts and options contracts derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These contracts are normally valued on the basis of quotes obtained from a quotation reporting system, established market makers or Pricing Services (normally determined as of the NYSE Close). Depending on the product and the terms of the transaction, financial derivative instruments can be valued by Pricing Services using a series of techniques, including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as quoted prices, issuer details, indices, bid/ask spreads, interest rates, implied volatilities, yield curves, dividends and exchange rates. Financial derivative instruments that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy.

 

Centrally cleared swaps and over the counter swaps derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. They are valued using a broker-dealer bid quotation or on market-based prices provided by Pricing Services (normally determined as of the NYSE Close). Centrally cleared swaps and over the counter swaps can be valued by Pricing Services using a series of techniques, including simulation pricing models. The pricing models may use inputs that are observed from actively quoted markets such as the overnight index swap rate, London Interbank Offered Rate forward rate, interest rates, yield curves and credit spreads. These securities are categorized as Level 2 of the fair value hierarchy.

 

Level 3 trading assets and trading liabilities, at fair value When a fair valuation method is applied by PIMCO that uses significant unobservable inputs, investments will be priced by a method that the Board or persons acting at their direction believe reflects fair value and are categorized as Level 3 of the fair value hierarchy. The valuation techniques and significant inputs used in determining the fair values of portfolio assets and liabilities categorized as Level 3 of the fair value hierarchy are as follows:

 

Proxy pricing procedures set the base price of a fixed income security and subsequently adjust the price proportionally to market value changes of a pre-determined security deemed to be comparable in duration, generally a U.S. Treasury or sovereign note based on country of issuance. The base price may be a broker-dealer quote, transaction price, or an internal value as derived by analysis of market data. The base price of the security may be reset on a periodic basis based on the availability of market data and procedures approved by the Valuation Oversight Committee. Significant changes in the unobservable inputs of the proxy pricing process (the base price) would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

If third-party evaluated vendor pricing is not available or not deemed to be indicative of fair value, the Adviser may elect to obtain Broker Quotes directly from the broker-dealer or passed through from a third-party vendor. In the event that fair value is based upon a single sourced Broker Quote, these securities are categorized as Level 3 of the fair value hierarchy. Broker Quotes are typically received from established market participants. Although independently received, the Adviser does not have the transparency to view the underlying inputs which support the market quotation. Significant changes in the Broker Quote would have direct and proportional changes in the fair value of the security.

 

Discounted cash flow valuation uses an internal analysis based on the Adviser’s expectation of future income and expenses, capital structure, exit multiples of a security, and other unobservable inputs which may include contractual and factual loan factors, estimated future payments and credit rating. Significant changes in the unobservable inputs of the models would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Reference instrument valuation estimates fair value by utilizing the correlation of the security to one or more broad-based securities, market indices, and/or other financial instruments, whose pricing information is readily available. Unobservable inputs may include those used in algorithms based on percentage change in the reference instruments and/or weights of each reference instrument. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Fundamental analysis valuation estimates fair value by using an internal model that utilizes financial statements of the non-public underlying company. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Security may be valued based on purchase prices of privately negotiated transactions. Significant changes in the unobservable inputs would result in direct and proportional changes in the fair value of the security. These securities are categorized as Level 3 of the fair value hierarchy.

 

Short-term debt instruments (such as commercial paper) having a remaining maturity of 60 days or less may be valued at amortized cost, so long as the amortized cost value of such short-term debt instruments is approximately the same as the fair value of the instrument as determined without the use of amortized cost valuation. These securities are categorized as Level 2 or Level 3 of the fair value hierarchy depending on the source of the base price.

 

3. FEDERAL INCOME TAX MATTERS

The Fund intends to qualify as a regulated investment company under Subchapter M of the Internal Revenue Code (the “Code”) and distribute all of its taxable income and net realized gains, if applicable, to shareholders. Accordingly, no provision for Federal income taxes has been made.

 

The Fund may be subject to local withholding taxes, including those imposed on realized capital gains. Any applicable foreign capital gains tax is accrued daily based upon net unrealized gains, and may be payable following the sale of any applicable investments.

 

 

 

Notes to Financial Statements (Cont.)

 

 

In accordance with U.S. GAAP, the Manager has reviewed the Fund's tax positions for all open tax years. As of September 30, 2020, the Fund has recorded no liability for net unrecognized tax benefits relating to uncertain income tax positions it has taken or expects to take in future tax returns.

 

The Fund files U.S. federal, state, and local tax returns as required. The Fund's tax returns are subject to examination by relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return but which can be extended to six years in certain circumstances. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

 

 

 

 

Glossary: (abbreviations that may be used in the preceding statements)       (Unaudited)
                     
Counterparty Abbreviations:                
BOA   Bank of America N.A.   FICC   Fixed Income Clearing Corporation    MSB   Morgan Stanley Bank, N.A
BOS   BofA Securities, Inc.   FOB   Credit Suisse Securities (USA) LLC   MYI   Morgan Stanley & Co. International PLC
BPS   BNP Paribas S.A.   GLM   Goldman Sachs Bank USA   MZF   Mizuho Securities USA LLC
BRC   Barclays Bank PLC   GSC   Goldman Sachs & Co. LLC   NOM   Nomura Securities International Inc.
BYR   The Bank of Nova Scotia - Toronto   GST   Goldman Sachs International   RTA   RBC (Barbados) Trading Bank Corp.
CBK   Citibank N.A.   IND   Crédit Agricole Corporate and Investment Bank S.A.   SBI   Citigroup Global Markets Ltd.
CDC   Natixis Securities Americas LLC   JML   JP Morgan Securities Plc   SCX   Standard Chartered Bank, London
CEW   Canadian Imperial Bank of Commerce   JPS   J.P. Morgan Securities LLC   SOG   Societe Generale Paris
CFR   Credit Suisse Securities (Europe) Ltd.   MBC   HSBC Bank Plc   TDM   TD Securities (USA) LLC
CSG   Credit Suisse AG Cayman   MEI   Merrill Lynch International   UBS   UBS Securities LLC
DBL   Deutsche Bank AG London                
                     
Currency Abbreviations:                
ARS   Argentine Peso   EUR   Euro   PEN   Peruvian New Sol
BRL   Brazilian Real   GBP   British Pound   RUB   Russian Ruble
CLP   Chilean Peso   MXN   Mexican Peso   USD (or $)   United States Dollar
DOP   Dominican Peso                
                     
Index/Spread Abbreviations:                
BADLARPP   Argentina Badlar Floating Rate Notes   LIBOR01M   1 Month USD-LIBOR   PRIME   Daily US Prime Rate
BP0003M   3 Month GBP-LIBOR   LIBOR03M   3 Month USD-LIBOR   US0003M   3 Month USD Swap Rate
EUR003M   3 Month EUR Swap Rate                
                     
Other  Abbreviations:                
ABS   Asset-Backed Security   DAC   Designated Activity Company   REMIC   Real Estate Mortgage Investment Conduit
BABs   Build America Bonds   EURIBOR   Euro Interbank Offered Rate   TBA   To-Be-Announced
CDO   Collateralized Debt Obligation   LIBOR   London Interbank Offered Rate   TBD   To-Be-Determined
CLO   Collateralized Loan Obligation   PIK   Payment-in-Kind   TBD%   Interest rate to be determined when loan settles or at the time of funding