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Pimco Muni Income Fund III (PMX)

Pimco Muni Income Fund III (PMX)
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Fundamentals

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  • Market Capitalization, $K N/A
  • Shares Outstanding, K N/A
  • Annual Sales, $ 30,489 K
  • Annual Income, $ 30,167 K
  • EBIT $ N/A
  • EBITDA $ N/A
  • 60-Month Beta N/A
  • Price/Sales 23.33
  • Price/Cash Flow N/A
  • Price/Book N/A
  • Price/Earnings ttm N/A
  • Earnings Per Share ttm N/A
  • Most Recent Earnings N/A on N/A
  • Next Earnings Date N/A
  • Annual Dividend & Yield N/A (N/A)
  • Most Recent Dividend N/A on N/A
  • Sectors:

Price Performance

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Period Period Low Period High Performance
1-Month
7.73 +0.26%
on 11/22/24
8.10 -4.32%
on 10/23/24
-0.39 (-4.79%)
since 10/22/24
3-Month
7.73 +0.26%
on 11/22/24
8.52 -9.04%
on 10/01/24
-0.21 (-2.64%)
since 08/22/24
52-Week
7.02 +10.40%
on 01/19/24
8.52 -9.04%
on 10/01/24
+0.44 (+6.02%)
since 11/22/23

Most Recent Stories

More News
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, Sept. 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, Aug. 02, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, July 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, June 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, May 03, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, April 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, March 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PDO : 13.59 (+0.30%)
PCI : 20.47 (-0.10%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, Feb. 01, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PCI : 20.47 (-0.10%)
PMF : 9.46 (-0.94%)
PIMCO Closed-End Funds Declare Monthly Common Share Distributions

NEW YORK, Jan. 04, 2021 (GLOBE NEWSWIRE) -- The Boards of Trustees/Directors of the PIMCO closed-end funds below (each, a “Fund” and, collectively, the “Funds”) have declared a monthly distribution...

PCN : 14.01 (+0.29%)
PTY : 14.65 (+0.48%)
PGP : 8.02 (+0.25%)
PHK : 5.00 (+0.81%)
PKO : 23.77 (-0.38%)
RCS : 7.79 (-0.76%)
PCM : 8.02 (+0.31%)
PFL : 8.41 (unch)
PFN : 7.49 (+0.27%)
PDI : 19.27 (+0.42%)
PCI : 20.47 (-0.10%)
PMF : 9.46 (-0.94%)
UPDATE -- PIMCO Closed-End Funds Declare Special Year-End Distribution

NEW YORK, Dec. 07, 2020 (GLOBE NEWSWIRE) -- The Board of Trustees/Directors of the PIMCO closed-end funds (each, a “Fund” and, collectively, the “Funds”) has declared a special year-end distribution...

PMF : 9.46 (-0.94%)
PNF : 7.95 (-0.10%)
PCQ : 9.49 (-0.32%)
PCK : 5.85 (-0.17%)
PMX : 7.75 (+0.19%)
PZC : 7.07 (unch)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 16% Sell with a Average short term outlook on maintaining the current direction.

The market is approaching oversold territory. Be watchful of a trend reversal.

See More Share

PMX Dividends

Date Value
11/12/24 $0.0330
10/11/24 $0.0330
09/13/24 $0.0330
08/12/24 $0.0330
07/11/24 $0.0330
06/13/24 $0.0330
05/10/24 $0.0330
04/10/24 $0.0330
03/08/24 $0.0330
02/09/24 $0.0330
01/11/24 $0.0330
12/08/23 $0.0330
11/10/23 $0.0330
10/11/23 $0.0330
09/08/23 $0.0330
08/10/23 $0.0330
07/12/23 $0.0330
06/09/23 $0.0330
05/10/23 $0.0330
04/12/23 $0.0330
03/10/23 $0.0330
02/10/23 $0.0330
01/12/23 $0.0330
12/09/22 $0.0460
11/11/22 $0.0460
10/12/22 $0.0460
09/09/22 $0.0460
08/10/22 $0.0460
07/08/22 $0.0460
06/10/22 $0.0460
05/11/22 $0.0460
04/08/22 $0.0460
03/10/22 $0.0460
02/10/22 $0.0460
01/12/22 $0.0460
12/10/21 $0.0460
11/10/21 $0.0460
10/08/21 $0.0460
09/10/21 $0.0460
08/11/21 $0.0460
07/09/21 $0.0460
06/10/21 $0.0460
05/12/21 $0.0460
04/09/21 $0.0460
03/10/21 $0.0460
02/10/21 $0.0460
01/13/21 $0.0460
12/16/20 $0.0120
12/10/20 $0.0460
11/10/20 $0.0460
10/09/20 $0.0460
09/10/20 $0.0460
08/12/20 $0.0460
07/10/20 $0.0460
06/10/20 $0.0460
05/08/20 $0.0460
04/09/20 $0.0460
03/11/20 $0.0460
02/12/20 $0.0460
01/10/20 $0.0460
12/11/19 $0.0510
11/08/19 $0.0510
10/10/19 $0.0510
09/12/19 $0.0510
08/09/19 $0.0510
07/11/19 $0.0510
06/12/19 $0.0510
05/10/19 $0.0510
04/10/19 $0.0510
03/08/19 $0.0560
02/08/19 $0.0560
01/11/19 $0.0560
12/14/18 $0.1100
12/12/18 $0.0560
11/09/18 $0.0560
10/11/18 $0.0560
09/13/18 $0.0560
08/10/18 $0.0560
07/12/18 $0.0560
06/08/18 $0.0560
05/10/18 $0.0560
04/11/18 $0.0560
03/09/18 $0.0560
09/09/15 $0.0623
08/11/15 $0.0623
07/09/15 $0.0623
06/09/15 $0.0623
05/07/15 $0.0623
04/09/15 $0.0623
03/10/15 $0.0623
02/10/15 $0.0623
01/08/15 $0.0623
12/09/14 $0.0623
11/10/14 $0.0623
10/09/14 $0.0623
09/10/14 $0.0623
08/07/14 $0.0623
07/09/14 $0.0623
06/10/14 $0.0623
05/08/14 $0.0623
04/09/14 $0.0623
03/11/14 $0.0700
02/11/14 $0.0700
01/09/14 $0.0700
12/10/13 $0.0700
11/07/13 $0.0700
10/09/13 $0.0700
09/11/13 $0.0700
08/08/13 $0.0700
07/09/13 $0.0700
06/11/13 $0.0700
05/09/13 $0.0700
04/09/13 $0.0700
03/07/13 $0.0700
02/07/13 $0.0700
01/10/13 $0.0700
12/11/12 $0.0700
11/08/12 $0.0700
10/09/12 $0.0700
09/12/12 $0.0700
08/09/12 $0.0700
07/10/12 $0.0700
06/07/12 $0.0700
05/09/12 $0.0700
04/10/12 $0.0700
03/08/12 $0.0700
02/09/12 $0.0700
01/11/12 $0.0700
12/08/11 $0.0700
11/09/11 $0.0700
10/11/11 $0.0700
09/08/11 $0.0700
08/09/11 $0.0700
07/07/11 $0.0700
06/09/11 $0.0700
05/10/11 $0.0700
04/07/11 $0.0700
03/09/11 $0.0700
02/09/11 $0.0700
01/11/11 $0.0700
12/09/10 $0.0700
11/09/10 $0.0700
10/06/10 $0.0700
09/09/10 $0.0700
08/10/10 $0.0700
07/08/10 $0.0700
06/09/10 $0.0700
05/11/10 $0.0700
04/08/10 $0.0700
03/09/10 $0.0700
02/09/10 $0.0700
01/12/10 $0.0700
12/09/09 $0.0700
11/09/09 $0.0700
10/08/09 $0.0700
09/09/09 $0.0700
08/11/09 $0.0700
07/09/09 $0.0700
06/09/09 $0.0700
05/07/09 $0.0700
04/08/09 $0.0700
03/10/09 $0.0700
02/10/09 $0.0700
01/15/09 $0.1400
11/10/08 $0.0700
10/08/08 $0.0700
09/10/08 $0.0700
08/07/08 $0.0700
07/09/08 $0.0700
06/10/08 $0.0700
05/08/08 $0.0700
04/09/08 $0.0700
03/11/08 $0.0700
02/07/08 $0.0700
01/10/08 $0.0700
12/11/07 $0.0700
11/07/07 $0.0700
10/09/07 $0.0700
09/12/07 $0.0700
08/09/07 $0.0700
07/10/07 $0.0700
06/07/07 $0.0700
05/09/07 $0.0700
04/10/07 $0.0700
03/08/07 $0.0700
02/08/07 $0.0700
01/11/07 $0.0700
12/07/06 $0.0700
11/09/06 $0.0700
10/10/06 $0.0700
09/07/06 $0.0700
08/09/06 $0.0700
07/11/06 $0.0700
06/08/06 $0.0700
05/09/06 $0.0700
04/11/06 $0.0700
03/08/06 $0.0700
02/08/06 $0.0700
01/11/06 $0.0831
12/14/05 $0.0831
11/16/05 $0.0831
10/19/05 $0.0831
09/14/05 $0.0831
08/10/05 $0.0831
07/13/05 $0.0831
06/08/05 $0.0831
05/11/05 $0.0831
04/13/05 $0.0831
03/09/05 $0.0831
02/09/05 $0.0831
01/12/05 $0.0831
12/15/04 $0.0831
11/09/04 $0.0831
10/13/04 $0.0831
09/08/04 $0.0831
08/11/04 $0.0831
07/14/04 $0.0831
06/09/04 $0.0831
05/12/04 $0.0831
04/14/04 $0.0831
03/10/04 $0.0831
02/11/04 $0.0831
01/14/04 $0.0831
12/10/03 $0.0831
11/12/03 $0.0831
10/08/03 $0.0831
09/10/03 $0.1247
07/23/03 $0.0831
06/25/03 $0.0831
05/22/03 $0.0831
04/23/03 $0.0831
03/26/03 $0.0831
02/26/03 $0.0831
01/22/03 $0.0831
12/24/02 $0.0831
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