PACIFIC INVESTMENT MANAGEMENT COMPANY LLC

549300KGPYQZXGMYYN38Copied!

ACTIVE ISSUED 🇺🇸 United States

PACIFIC INVESTMENT MANAGEMENT COMPANY LLC is an active legal entity registered in United States (US-DE). LEI code: 549300KGPYQZXGMYYN38. The LEI was first issued on Dec 18, 2012 and is managed by LOU 5493001KJTIIGC8Y1R12. Next renewal is due Aug 7, 2026.

Entity Details

LEI Code 549300KGPYQZXGMYYN38 Legal Name PACIFIC INVESTMENT MANAGEMENT COMPANY LLC Status ACTIVE Jurisdiction 🇺🇸 United States (US-DE) Category General Entities Legal Form Legal Form HZEH Registration # 3223023

Registration & Compliance

Reg. Status ISSUED Initial Reg. Dec 18, 2012 Last Updated Jul 14, 2025 Next Renewal Aug 7, 2026 Corroboration FULLY_CORROBORATED Managing LOU Bloomberg Finance L.P. Reg. Authority National Register of Legal Entities (Brazil)

Addresses

Legal / Registered Address
C/O REGISTERED AGENT SOLUTIONS, INC.
838 WALKER ROAD
SUITE 21-2
DOVER
US-DE
19904
US
Headquarters Address
650 Newport Center Drive
Newport Beach
US-CA
92660
US

📅 Registration Timeline

First Issued
Dec 18, 2012 — LEI initially registered
Last Updated
Jul 14, 2025 — Record data last refreshed
Next Renewal
Aug 7, 2026 — Upcoming renewal deadline

Data Quality

80%
8 of 10 data fields populated
Legal Name
Legal Address
HQ Address
Jurisdiction
Registration #
Legal Form
BIC / SWIFT
Ownership Data
Other Names
Corroboration

🔎 LEI Code Anatomy

Every LEI is a 20-character alphanumeric code structured in three parts per ISO 17442

5493
00KGPYQZXGMYYN
38
LOU Prefix
Characters 1–4 identify the Local Operating Unit that issued this LEI
Entity Identifier
Characters 5–18 are unique to this specific legal entity
Check Digits ✓
Characters 19–20 are verification digits (MOD 97-10). This LEI passes checksum validation.

Ownership & Relationships

Corporate structure and ownership hierarchy based on GLEIF Level 2 relationship data

Subsidiaries & Children (454)

PIMCO Cayman U.S. Bond Fund is fund-managed by
PIMCO MUNICIPAL INCOME FUND is fund-managed by
MF/PIMCO PI GNMA FUND is fund-managed by
PM AGGREGATE CREDIT FUND is fund-managed by
PIMCO-JPI Multi Asset Strategy is fund-managed by
BRAVISTA PARCELCO III LLC Ultimate Parent
130 Holger Owner LLC Ultimate Parent
110 Holger Owner LLC Ultimate Parent
PIMCO PRIVATE FUNDS, LLC is fund-managed by
BRONCO INVESTMENT VEHICLE, L.P. is fund-managed by
BRAVISTA PARCELCO I LLC Ultimate Parent
95 Headquarters Owner LLC Ultimate Parent
PIMCO Multisector Credit CIT is fund-managed by
BRAVISTA PARCELCO II LLC Ultimate Parent
120 Holger Owner LLC Ultimate Parent
PIMCO Alfavitos Fund, L.P. is fund-managed by
DIVERSIFIED PRIVATE CREDIT is fund-managed by
BRAVISTA PARCELCO IV LLC Ultimate Parent
PIMCO Dynamic Bond Portfolio is fund-managed by
PIMCO Low Duration Portfolio is fund-managed by
PIMCO Global Bond Strategy Fund is fund-managed by
PIMCO Stable Income Fund II is fund-managed by
PIMCO RAE US CIT is fund-managed by
PIMCO Emerging Markets Bond CIT is fund-managed by
PIMCO Sector Fund Series - EE is fund-managed by
PIMCO All Asset Fund is fund-managed by
PIMCO REALPATH Blend 2030 Fund is fund-managed by
PHFS III SP is fund-managed by
PIMCO FUNDS is fund-managed by
PIMCO-NR Multi Asset Strategy is fund-managed by
PHFS VI SP is fund-managed by
PIMCO Bermuda U.S. Core Fund is fund-managed by
PIMCO ETF TRUST is fund-managed by
PIMCO REALPATH Blend 2025 Fund is fund-managed by
PHFS IX SP is fund-managed by
PIMCO BRAVO FUND, L.P. is fund-managed by
Fixed Income SHares: Series C is fund-managed by
PIMCO Climate Bond Fund is fund-managed by
PIMCO RAFI ESG U.S. ETF is fund-managed by
Fixed Income SHares: Series M is fund-managed by
PIMCO All Asset Portfolio is fund-managed by
PIMCO RAE US Small CIT is fund-managed by
PIMCO Sector Fund Series - AM is fund-managed by
PIMCO RAE Global Fund LLC is fund-managed by
PIMCO Long-Term Credit Bond CIT is fund-managed by
PIMCO REALPATH Blend 2045 Fund is fund-managed by
PIMCO Bermuda Bank Loan Fund C is fund-managed by
PIMCO REALPATH Blend 2035 Fund is fund-managed by
PIMCO Bermuda Bank Loan Fund A is fund-managed by
PIMCO U.S. CREDIT LADDER FUND is fund-managed by
PIMCO ELEVEN POINT FUND, LP is fund-managed by
PIMCO Core Bond CIT is fund-managed by
PIMCO-YM Multi Asset Strategy is fund-managed by
PHFS VII SP is fund-managed by
PIMCO Sector Fund Series - BL is fund-managed by
PIMCO Sector Fund Series - H is fund-managed by
PIMCO REALPATH Blend 2050 Fund is fund-managed by
PIMCO Bermuda Income Fund (M) is fund-managed by
CATALINA TRH FUND LTD. is fund-managed by
PIMCO-SK Multi Asset Strategy is fund-managed by
VCA-GI-100-7-PIMCO-FDM2 is fund-managed by
PIMCO Short Asset Portfolio is fund-managed by
PIMCO Cayman Bank Loan Fund II is fund-managed by
PIMCO OFFSHORE FUNDS is fund-managed by
PIMCO Total Return Fund V is fund-managed by
PIMCO Elysian Park Fund, L.P. is fund-managed by
PHFS IV SP is fund-managed by
PIMCO EQUITY SERIES VIT is fund-managed by
PIMCO DISCO FUND III LP is fund-managed by
PIMCO REALPATH Blend 2055 Fund is fund-managed by
PIMCO Sector Fund Series - BC is fund-managed by
PIMCO SEVEN POINT FUND L.P. is fund-managed by
Total Return CIT is fund-managed by
MF/PIMCO US HY CREDIT BEAR FUND is fund-managed by
PIMCO RAE Emerging Markets Fund is fund-managed by
PIMCO Cayman Trust is fund-managed by
PIMCO VARIABLE INSURANCE TRUST is fund-managed by
PIMCO ESG Income Fund is fund-managed by
PHFS XII SP is fund-managed by
PIMCO REALPATH Blend 2040 Fund is fund-managed by
PHFS XI SP is fund-managed by
PIMCO Income Portfolio is fund-managed by
PIMCO Bermuda Trust IV is fund-managed by
PHFS V SP is fund-managed by
PIMCO RED STICK FUND, L.P. is fund-managed by
PIMCO StocksPLUS™ World Fund is fund-managed by
PIMCO REALPATH Blend 2060 Fund is fund-managed by
PIMCO Bermuda Trust II is fund-managed by
PIMCO Sector Fund Series - I is fund-managed by
PIMCO RAE US Small Fund is fund-managed by
Fixed Income Shares: Series TE is fund-managed by
PIMCO Bermuda Trust is fund-managed by
PIMCO Sector Fund Series - AI is fund-managed by
PHFS Series SPC is fund-managed by
PIMCO ACCESS INCOME FUND is fund-managed by
PIMCO RAE International Fund is fund-managed by
PIMCO StocksPLUS™ Europe Fund is fund-managed by
PIMCO MANAGED ACCOUNTS TRUST is fund-managed by
PIMCO RAE US Fund is fund-managed by
PIMCO ILS Fund SP I is fund-managed by
PIMCO RAE Global ex-US Fund is fund-managed by
PIMCO RAE GLOBAL EX-US FUND LLC is fund-managed by
PIMCO Bermuda Bank Loan Fund D is fund-managed by
PIMCO Bermuda Income Fund D is fund-managed by
PIMCO U.S. AGENCY MBS FUND is fund-managed by
PIMCO Sector Fund Series - AH is fund-managed by
Fixed Income SHares: Series LD is fund-managed by
PIMCO Bermuda Bank Loan Fund B is fund-managed by
STOCKSPLUS, L.P. is fund-managed by
PIMCO Short-Term Strategy is fund-managed by
PIMCO HORSESHOE FUND, LP is fund-managed by
Flight Deck Master Fund, L.P. is fund-managed by
PS World Multi Asset Strategy is fund-managed by
PIMCO EQUITY SERIES is fund-managed by
PIMCO BRAVO Fund IV, L.P. is fund-managed by
PIMCO Bermuda Income Fund A is fund-managed by
PIMCO Short-Term Portfolio is fund-managed by
PIMCO Short-Term Portfolio is fund-managed by
PIMCO Moderate Duration Fund is fund-managed by
PIMCO High Yield Fund is fund-managed by
PIMCO StocksPLUS Fund is fund-managed by
PIMCO Extended Duration Fund is fund-managed by
PIMCO Municipal Portfolio is fund-managed by
PIMCO RAE PLUS EMG Fund is fund-managed by
Fixed Income SHares: Series R is fund-managed by
PIMCO DYNAMIC INCOME FUND is fund-managed by
PIMCO RAE PLUS Fund is fund-managed by
Belk Pension Plan Trust is fund-managed by
PCM FUND, INC. is fund-managed by
PIMCO Total Return Fund is fund-managed by
US High Yield Bond Fund is fund-managed by
PIMCO High Yield Portfolio is fund-managed by
PIMCO Low Duration ESG Fund is fund-managed by
PIMCO Diversified Income Fund is fund-managed by
PIMCO Low Duration Fund II is fund-managed by
PIMCO U.S. High Yield Fund II is fund-managed by
PIMCO World High Income is fund-managed by
PIMCO Total Return ESG Fund is fund-managed by
PIMCO Low Duration Portfolio is fund-managed by
PIMCO StocksPLUS Small Fund is fund-managed by
PIMCO Cayman Foreign Bond Fund is fund-managed by
PIMCO Real Return Fund is fund-managed by
PIMCO Low Duration Fund is fund-managed by
PIMCO Dynamic Bond Fund is fund-managed by
PIMCO StocksPLUS Short Fund is fund-managed by
PIMCO Total Return Fund IV is fund-managed by
PIMCO INCOME STRATEGY FUND II is fund-managed by
PIMCO MUNICIPAL INCOME FUND III is fund-managed by
PIMCO Short-Term Fund is fund-managed by
PIMCO Low Duration Income Fund is fund-managed by
PIMCO Total Return Fund II is fund-managed by
PIMCO Municipal Bond Fund is fund-managed by
PIMCO HIGH INCOME FUND is fund-managed by
PIMCO Real Return Portfolio is fund-managed by
PIMCO Real Return Fund is fund-managed by
PIMCO INCOME STRATEGY FUND is fund-managed by
PIMCO RAE PLUS Small Fund is fund-managed by
PIMCO Real Return Portfolio is fund-managed by
PIMCO Total Return Portfolio is fund-managed by
PIMCO High Yield Spectrum Fund is fund-managed by
PIMCO INCOME FUND is fund-managed by
PIMCO Dividend and Income Fund is fund-managed by
PIMCO Emerging Bond Income Fund is fund-managed by
PIMCO Low Duration Credit Fund is fund-managed by
PIMCO MUNICIPAL INCOME FUND II is fund-managed by

? Frequently Asked Questions

What is the LEI number for PACIFIC INVESTMENT MANAGEMENT COMPANY LLC? +

The Legal Entity Identifier (LEI) for PACIFIC INVESTMENT MANAGEMENT COMPANY LLC is 549300KGPYQZXGMYYN38. This 20-character code uniquely identifies PACIFIC INVESTMENT MANAGEMENT COMPANY LLC in global financial transactions as per ISO 17442.

Is PACIFIC INVESTMENT MANAGEMENT COMPANY LLC's LEI active? +

Yes, PACIFIC INVESTMENT MANAGEMENT COMPANY LLC's LEI is currently active (registration status: ISSUED). The record was last updated on Jul 14, 2025 and is due for renewal on Aug 7, 2026.

Where is PACIFIC INVESTMENT MANAGEMENT COMPANY LLC registered? +

PACIFIC INVESTMENT MANAGEMENT COMPANY LLC is registered in United States (jurisdiction: US-DE). The entity is registered under business register number 3223023.

What is a Legal Entity Identifier (LEI)? +

An LEI is a 20-character alphanumeric code based on the ISO 17442 standard. It connects to key reference information that enables clear and unique identification of legal entities participating in financial transactions. LEIs are issued by Local Operating Units (LOUs) accredited by the Global Legal Entity Identifier Foundation (GLEIF).

About This LEI Record

This page shows the Legal Entity Identifier (LEI) record for PACIFIC INVESTMENT MANAGEMENT COMPANY LLC, registered in United States. The LEI code 549300KGPYQZXGMYYN38 is a globally unique 20-character identifier assigned under the ISO 17442 standard to legal entities participating in financial transactions.

The reference data displayed above is sourced from the Global Legal Entity Identifier Foundation (GLEIF) and is updated hourly. This includes Level 1 data (entity identification and addresses) and Level 2 data (ownership relationships), where available.

If the registration status shows "Lapsed," it means the entity has not completed its annual renewal — the LEI still uniquely identifies this entity, but the reference data may not reflect the most recent information. For the most authoritative data, you can cross-reference this record on the official GLEIF website.