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PIMCO Corporate Income Fund, PIMCO Corporate Opportunity Fund, PIMCO High Income Fund Declare Monthly Common Share Income Dividends.


NEW YORK -- The Boards of Trustees of PIMCO PIMCO Pacific Investment Management Company  Corporate Income Fund (NYSE NYSE

See: New York Stock Exchange
: PCN 1. PCN - Program Composition Notation.
2. (communications) PCN - Personal Communication Network.
), PIMCO Corporate Opportunity Fund (NYSE: PTY Pty Austral & S African Proprietary ) and PIMCO High Income Fund (NYSE: PHK PHK Pink Honor Key (International Order of DeMolay) ) (collectively, the "Funds") announced today that they have declared the following dividends on the Funds' common shares:
PIMCO Corporate Income Fund            $0.10625 per common share
    PIMCO Corporate Opportunity Fund       $0.1375 per common share
    PIMCO High Income Fund                 $0.121875 per common share


The dividends will be payable on March 1, 2005 to shareholders of record on February 11, 2005, with an ex-dividend date of February 9, 2005.
At January 31, 2005, the Funds' net assets* were approximately:

    PIMCO Corporate Income Fund                        $848.3 mil.
    PIMCO Corporate Opportunity Fund                   $1.6 bil.
    PIMCO High Income Fund                             $2.7 bil.

    *Net assets are inclusive of Preferred Shares of $300 million,
     $565 million and $900 million for the Corporate Income, Corporate
     Opportunity and High Income funds, respectively.


The Funds are closed-end management investment companies. The primary objective of the Corporate Income Fund is to seek high current income with secondary objectives of capital preservation and appreciation. The investment objective of the Corporate Opportunity Fund is to seek maximum total return through a combination of current income and capital appreciation. The High Income Fund's primary objective is to seek high current income with capital appreciation as a secondary objective.

PA Fund Management LLC (Logical Link Control) See "LANs" under data link protocol.

LLC - Logical Link Control
, an indirect, wholly-owned subsidiary of Allianz Global Investors of America L.P., serves as the Funds' investment manager and is a member of Munich-based Allianz Group (NYSE - AZ). Pacific Investment Management Company LLC, a PA Fund Management affiliate, serves as the Funds' sub-adviser. Allianz is a leading global financial services company.

The Funds' daily New York Stock Exchange New York Stock Exchange (NYSE)

World's largest marketplace for securities. The exchange began as an informal meeting of 24 men in 1792 on what is now Wall Street in New York City.
 closing prices, net asset values per share as well as other information are available at www.pimcoadvisors.com or by calling the Funds' transfer agent at 1-800-331-1710.
COPYRIGHT 2005 Business Wire
No portion of this article can be reproduced without the express written permission from the copyright holder.
Copyright 2005, Gale Group. All rights reserved. Gale Group is a Thomson Corporation Company.

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Publication:Business Wire
Date:Feb 1, 2005
Words:312
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