PTY PIMCO Corporate & Income Opportunity Fund
PIMCO Corporate & Income Opportunity Fund (PTY) trend channel, buy level and 3-month target on Trade The Path. Sector: Financial Services. Listed on NYSE. Levels below are fitted to this ticker's own swing highs and lows (TheilβSen, log-price), then projected 3 months. On this symbol, 4 comparable calls have settled; 0% reached the published sell target. Information only, not financial advice.
Mid-channel, falling on both timeframes
Price is between the two trend lines. Nothing to act on yet.
Read from the last 12 months of history we hold: falling, drifting β10% a year. The nearest ceiling overhead is US$11.75. What would overturn this: a close below US$11.12 β the floor of the channel being read β after which the trend, not the entry, is what was wrong.
- 12 months read from
- US$11.12 β US$11.75 Falling channel, β10% a year
- Position in that channel
- 23% 0% at the floor, 100% at the ceiling
Price history, with the path projected 3 months forward
- Daily close
- Upper trend line (12 months)
- Lower trend line (12 months)
- Dashed after today: projected 3 months
- Our buy
- Our target
Our target
We replayed these rules over this stock's own history and the target was reached on only 0 of 4 calls. Its swings do not respect the channel reliably enough for a published call, and no alerts are sent. The numbers below are still this site's read of the fitted channel.
Buy at or below
US$11.12
level as at 19 Sept 2026
Our target
US$11.54
by 18 Dec 2026
Projected move
3.8%
gross, before costs
Price sits between our buy level and our target.
On this stock's own history these rules produced 4 settled calls, of which 0 reached target (0%), with an average best move of 4.7%. See the full record.
- Upper line touches
- 5
- Lower line touches
- 5
- Fit confidence
- 78%
- Fitted
- 19 Sept 2026
About PIMCO Corporate & Income Opportunity Fund
The PIMCO Corporate & Income Opportunity Fund (PTY) operates as a closed-ended fixed income mutual fund. It is overseen by Allianz Global Investors Fund Management LLC, with Pacific Investment Management Company LLC acting as co-manager. This fund strategically allocates capital within global fixed income markets, emphasizing corporate debt obligations. Its portfolio targets a specific credit profile, encompassing bonds rated at the lowest investment grade (Baa or BBB) and the highest non-investment grade (Ba or BB). Key investments include intermediate-maturity bonds, diversified across numerous industries and sectors. Investment selection is driven by a meticulous combination of fundamental analysis and a top-down approach, underpinned by the firm's in-house research capabilities. Established on December 27, 2002, the fund is domiciled in the United States.
- Sector
- Financial Services
- Industry
- Asset Management - Income
- CEO
- Lew Wallace Jacobs IV
- Country
- US
Scorecard
Our own pillar scores, computed from the fundamentals below. They are not Morningstar ratings β that data is licensed and we do not redistribute it.
- Valuation
- β
- Profitability
- β
- Financial health
- β
- Cash generation
- β
Key statistics
- Market cap
- US$2.47B
- Enterprise value
- β
- Beta
- 0.81
- Avg volume
- 1.09M
- Revenue per share
- β
- Dividend yield
- β
- 52-week range
- 11.58-14.69
- Exchange
- NYSE
Key ratios
- P/E (TTM)
- β
- PEG
- β
- Price / sales
- β
- Price / book
- β
- EV / EBITDA
- β
- Gross margin
- β
- Operating margin
- β
- Net margin
- β
- Current ratio
- β
- Quick ratio
- β
- Debt / equity
- β
- Interest cover
- β
Income statement
Balance sheet
Cash flow
Trend lines are fitted statistically to past swing highs and lows and projected forward on the assumption the same rhythm continues. It often does not. This is information, not advice.