PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate
0.12%January 08 | MyPlanIQ portfolio symbol P_63183

  • Portfolio Overview
  • Holdings
  • Performance
  • Calculators
  • Rolling Returns
  • Drawdowns

Holdings


Recommended Holdings on 10/31/2024 (Delayed Holdings)

Fund Percentage
PTTRX (TOTAL RETURN FUND INSTITUTIONAL) 100.00%
CASH (CASH) 0.00%


Historical Performance


PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate Historical Returns

Name YTD Return 1Yr AR 3Yr AR 5Yr AR 10Yr AR 15Yr AR 20Yr AR Inception
PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate NA 12.49% -1.62% 0.26% 1.48% 2.75% 3.45% 4.15%
VFINX (VANGUARD 500 INDEX FUND INVESTOR SHARES) NA 37.82% 8.86% 15.20% 12.89% 14.04% 10.46% 8.70%
VSMGX (VANGUARD LIFESTRATEGY MODERATE GROWTH FUND INVESTOR SHARES) NA 21.20% 0.94% 5.44% 5.42% 6.79% 5.80% 5.54%
Data as of 10/31/2024, AR inception is 12/31/2000

Calculate Performance

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PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate Historical Return Chart


Calculators


Dollar Cost Average Calculator for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate

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Retirement Spending Calculator for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate

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Rolling Returns


From 12/31/2000 to 01/08/2025, the worst annualized return of 3-year rolling returns for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate is -5.35%.
From 12/31/2000 to 01/08/2025, the worst annualized return of 5-year rolling returns for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate is -0.94%.
From 12/31/2000 to 01/08/2025, the worst annualized return of 10-year rolling returns for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate is 0.78%.
From 12/31/2000 to 01/08/2025, the worst annualized return of 20-year rolling returns for PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate is 3.14%.

Maximum Drawdown

PIMCO DoubleLine Bond Plan Strategic Asset Allocation - Optimal Moderate Maximum Drawdown

Maximum Drawdowns Table

Start DateTrough DateFull Recovered DateDuration of drawdown (year)Maximum Drawdown (%)
2001-032001-042001-060.30.92%
2001-102001-122002-010.32.00%
2002-022002-032002-030.11.96%
2003-052003-072003-110.53.77%
2004-032004-052004-070.32.63%
2004-102004-112004-110.10.35%
2005-012005-032005-030.20.60%
2005-062005-072005-070.10.79%
2005-082005-102006-060.81.92%
2006-112007-012007-010.20.56%
2007-042007-062007-070.31.16%
2008-022008-032008-030.10.16%
2008-042008-102009-030.96.21%
2009-112009-122009-120.10.86%
2010-042010-052010-050.10.02%
2010-102010-122011-030.41.96%
2011-052011-062011-060.10.36%
2011-072011-112012-010.52.70%
2013-042013-082014-010.83.08%
2014-022014-032014-030.10.14%
2014-062014-072014-070.10.04%
2014-082014-092014-090.10.17%
2014-112014-122014-120.10.15%
2015-012015-022015-020.10.33%
2015-032015-042015-040.10.03%
2015-052015-062015-060.10.66%
2015-092015-122015-120.30.48%
2016-072016-082016-080.10.06%
2016-092016-112017-040.61.58%
2017-052017-062017-060.10.10%
2017-082018-042019-021.53.29%
2019-082019-092019-120.30.35%
2020-022020-032020-030.10.59%
2020-072020-102020-110.31.29%
2020-122022-102025-014.116.52%
2003-052003-112004-032004-072005-082006-062008-042009-032010-102011-032011-072012-012013-042014-012016-092017-042017-082019-022019-082019-122020-072020-112020-12−15−10−50
Monthly Drawdown ChartDateDaily Change (%)