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					                                                                                                                                                                                                        For Shareholder Services Call 1-800-927-4648
                                                                                            PVIT Small Cap StocksPLUS® TR Portfolio as of 06/30/2008


Performance data current to the most recent month-end is available at www.pimco.com or by calling (800) 927-4648.

Investors should consider the investment objectives, risks, charges and expenses of these Funds carefully before investing. This and other information is contained in the Fund's prospectus, which may be obtained by contacting your PIMCO
representative at 800-927-4648. Please read the prospectus carefully before you invest or send money.

   CUSIP                              DESCRIPTION                                               SECTOR                 COUPON       MATURITY     CURRENCY      PAR/SHARES/QTY            PRICE        MKT VALUE (USD)       QUALITY      DURATION
912828HX1      U S TREASURY NOTE                                                     Government/Agency                    2.1250    04/30/2010   USD                 -100,000.000         99.3282            (99,328.20)    AAA                1.78
TYU800005      FIN FUT US 10YR CBT 9/19/08                                           Government/Agency                    0.0000    09/20/2008   USD                  300,000.000        113.9219           341,765.63      AAA                6.20
TYU8C0028      CBOT ACAL USTN FUT 9/08 @117                                          Government/Agency                    0.0000    08/22/2008   USD                 -100,000.000          0.3438               (343.75)    AAA                6.20
TYU8P0354      CBOT APUT USTN FUT 9/08 @ 101                                         Government/Agency                    0.0000    08/22/2008   USD                  200,000.000          0.0156                 31.25     AAA                6.20
TYU8P0370      CBOT APUT USTN FUT 9/08 @ 111                                         Government/Agency                    0.0000    08/22/2008   USD                 -100,000.000          0.3438               (343.75)    AAA                6.20
01F050676      FNMA TBA 5.00% JULY                                                   Mortgage                             5.0000    07/14/2038   USD                  200,000.000         95.8594           191,718.80      AAA                5.64
02150PAB4      CWALT 2007-OA6 A1B 1MLIB+20                                           Mortgage                             2.6825    06/25/2037   USD                   25,474.170         70.0738             17,850.73     AAA                0.00
05569QAB0      BNCMT 2007-2 A2 1MLIB+10                                              Mortgage                             2.5825    05/25/2037   USD                   22,883.960         96.0649             21,983.44     AAA                0.00
073859AA8      BSABS 2007-HE5 1A1 1MLIB+9                                            Mortgage                             2.5725    06/25/2047   USD                   19,343.450         96.9466             18,752.82     AAA                0.00
07402FAC9      BSSP 2007-R6 2A1 ARM                                                  Mortgage                             5.7774    12/26/2046   USD                   26,753.300         82.3200             22,023.31     AAA                2.50
12666UAA1      CWL 2006-15 A1 SEQ 1MLIB+10                                           Mortgage                             2.5925    10/25/2046   USD                   10,454.210         98.1684             10,262.73     AAA                0.00
126670ZL5      CWL 2006-6 2A2 1MLIB+18                                               Mortgage                             2.6625    09/25/2036   USD                   22,614.910         95.6616             21,633.78     AAA                0.00
12669F6Z1      CWHL 2004-22 A3 ARM WM34 WC5.34                                       Mortgage                             4.7991    11/25/2034   USD                   11,347.920         96.1783             10,914.24     AAA                1.50
12669GHG9      CWHL 2004-HYB9 1A1 ARM WM34 WC5.03                                    Mortgage                             4.7196    02/20/2035   USD                   14,386.800         97.7131             14,057.78     AAA                1.50
12669VAB4      CWL 2007-7 2A1 1MLIB+8                                                Mortgage                             2.5625    10/25/2037   USD                   19,652.210         94.1414             18,500.86     AAA                0.00
17311VAD1      CMLTI 2007-AHL1 A2A 1MLIB+4                                           Mortgage                             2.5225    12/25/2036   USD                   20,700.620         94.8122             19,626.72     AAA                0.00
17312EAB2      CMLTI 2007-AMC3 A2A 1ML+11                                            Mortgage                             2.5925    03/25/2037   USD                   21,838.570         94.8862             20,721.78     AAA                0.00
173145AA1      CMLTI 2008-RR1 A1A1 1MLIB+7 144A                                      Mortgage                             2.5525    01/25/2037   USD                   16,088.560         89.8879             14,461.67     AAA                0.00
25151TAA8      DBALT 2007-BAR1 A1 1MLIB+8                                            Mortgage                             2.5625    03/25/2037   USD                   13,684.240         95.7296             13,099.86     AAA                0.00
3128CULV6      FHLMC GOLDGUAR 20 YR #G3-0340                                         Mortgage                             6.0000    08/01/2027   USD                    1,004.210        101.7559              1,021.85     AAA                2.97
3128CULV6      FHLMC GOLDGUAR 20 YR #G3-0340                                         Mortgage                             6.0000    08/01/2027   USD                   25,101.860        101.7559             25,542.61     AAA                2.97
3128CUME3      FHLMC GOLDGUAR 20 YR #G3-0357                                         Mortgage                             6.0000    09/01/2027   USD                   25,685.150        101.7559             26,136.15     AAA                2.97
3128E4GT3      FHLMC GOLDGUAR 20 YR #D9-7410                                         Mortgage                             6.0000    09/01/2027   USD                   23,104.840        101.7559             23,510.53     AAA                2.97
31371M4A2      FNMA PASS THRU MTG       #256517                                      Mortgage                             6.0000    12/01/2026   USD                   23,028.040        101.6635             23,411.12     AAA                3.64
31371NLH6      FNMA PASS THRU MTG       #256928                                      Mortgage                             6.0000    10/01/2027   USD                   25,567.390        101.6309             25,984.38     AAA                2.97
31371NMK8      FNMA PASS THRU MTG       #256962                                      Mortgage                             6.0000    11/01/2027   USD                   26,126.680        101.6309             26,552.79     AAA                3.64
31392J3T4      FNR 2003-21 M SEQ WM17 WC5.4074                                       Mortgage                             5.0000    02/25/2017   USD                    7,075.540        101.3167              7,168.70     AAA                2.25
31393BRR8      FNR 2003-37 HY SEQ WM17 WC5.4425                                      Mortgage                             5.0000    12/25/2016   USD                   19,754.570        101.2854             20,008.49     AAA                2.00
31393ELP2      FNW 2003-W12 2A5 SEQ WM30 WC7.7058                                    Mortgage                             4.5000    06/25/2043   USD                    1,883.800         99.8360              1,880.71     AAA                0.50
31395PX49      FHR 2950 NA WM34 WC5.5557                                             Mortgage                             4.2500    09/15/2024   USD                   12,018.360        100.2980             12,054.18     AAA                1.25
31397JAB0      FHR 3335 AF 1MLIB+15                                                  Mortgage                             2.6213    10/15/2020   USD                   81,865.740         98.0344             80,256.55     AAA                0.50
31397JB60      FHR 3335 FT 1MLIB+15                                                  Mortgage                             2.6213    08/15/2019   USD                   32,241.510         98.0580             31,615.39     AAA                0.00
31397JTZ7      FHR 3346 FA 1ML+23                                                    Mortgage                             2.7013    02/15/2019   USD                   25,273.900         98.0415             24,778.92     AAA                0.00
31413QXJ2      FNMA PASS THRU MTG       #952581                                      Mortgage                             6.0000    08/01/2027   USD                   24,126.500        101.6309             24,519.99     AAA                2.97
31413USG5      FNMA PASS THRU MTG       #956019                                      Mortgage                             6.0000    11/01/2037   USD                  868,651.980        101.0237           877,544.13      AAA                3.64
31415MN43      FNMA PASS THRU MTG       #984311                                      Mortgage                             5.5000    05/01/2038   USD                   49,999.350         98.7012             49,349.94     AAA                4.68
32027LAC9      FFML 2006-FF14 A3 1MLIB+5                                             Mortgage                             2.5325    10/25/2036   USD                   15,432.470         96.9123             14,955.95     AAA                0.00
32028GAC9      FFML 2006-FF15 A3 1MLIB+5                                             Mortgage                             2.5325    11/25/2036   USD                   17,420.830         96.0970             16,740.89     AAA                0.00
337435DL2      FUSAM 1998-6 A 1MLIB+16                                               Mortgage                             2.6413    04/18/2011   USD                   30,000.000         99.9988             29,999.63     AAA                0.00
35729RAD8      FHLT 2006-A 2A2 1ML+10                                                Mortgage                             2.5825    05/25/2036   USD                   15,037.580         97.8387             14,712.57     AAA                0.00
36228CZS5      GSMS 2007-EOP A1 1MLIB+9 144A                                         Mortgage                             2.5400    03/06/2020   USD                    9,520.980         93.6579              8,917.15     AAA                0.00
41161PMX8      HVMLT 2005-4 3A1 ARM WM35 WC5.4265                                    Mortgage                             5.1450    07/19/2035   USD                   17,339.690         92.3886             16,019.89     AAA                2.00
46630JAC3      JPMCC 2007-LDPX A3 SEQ WM15 WC5.76                                    Mortgage                             5.4200    01/15/2049   USD                   30,000.000         92.8747             27,862.40     AAA                6.75
52521TAA5      LBFRC 2006-LLFA A1 144A 1MLIB+8                                       Mortgage                             2.5513    09/15/2021   USD                    3,543.260         95.1848              3,372.64     AAA                0.00
55275BAB3      MABS 2006-NC2 A2 1ML+4                                                Mortgage                             2.5225    08/25/2036   USD                    9,481.360         98.4058              9,330.21     AAA                0.00
576457AA3      MABS 2007-HE1 A1 1MLIB+8                                              Mortgage                             2.5625    05/25/2037   USD                   18,567.410         96.5116             17,919.70     AAA                0.00
61750SAC6      MSAC 2006-HE8 A2A 1ML+5                                               Mortgage                             2.5325    10/25/2036   USD                   12,926.330         96.5409             12,479.19     AAA                0.00
61753EAA8      MSAC 2007-HE2 A2A 1ML+4                                               Mortgage                             2.5225    01/25/2037   USD                   18,290.590         96.7773             17,701.14     AAA                0.00
63860LAB6      NSTR 2007-B 2AV1 1MLIB+12                                             Mortgage                             2.6025    04/25/2037   USD                   21,048.680         97.9883             20,625.25     AAA                0.00
81378GAB4      SABR 2007-NC2 A2A 1MLIB+4                                             Mortgage                             2.5225    01/25/2037   USD                   18,862.850         96.8843             18,275.13     AAA                0.00
83612TAB8      SVHE 2007-OPT1 2A1 1MLIB+8                                            Mortgage                             2.5625    06/25/2037   USD                   21,680.170         96.5037             20,922.17     AAA                0.00
86362QAA1      SASC 2007-GEL1 A1 144A 1MLIB+10                                       Mortgage                             2.5825    01/25/2037   USD                   18,799.420         90.4844             17,010.54     AAA                0.00
9497EVAA3      WFHET 2007-1 A1 SEQ 1MLIB+10                                          Mortgage                             2.5825    03/25/2037   USD                   16,330.290         98.8248             16,138.38     AAA                0.00
00206RAC6      AT&T INC GLBL NT FRN                                                  Invest. Grade Credit                 2.8844    02/05/2010   USD                  100,000.000         99.5884             99,588.40     A                  0.10
02580EAZ6      AMERICAN EXPRESS BK FSB FRN                                           Invest. Grade Credit                 2.5413    06/22/2009   USD                   30,000.000         99.2716             29,781.48     AA-                0.13
02666QZB2      AMERICAN HONDA FIN FRN 144A W/RRT FRN                                 Invest. Grade Credit                 2.7844    02/09/2010   USD                   30,000.000         99.9373             29,981.19     AA-                0.10
02687QDG0      AMERICAN INTL GROUP MTN SR UNSECURED                                  Invest. Grade Credit                 5.8500    01/16/2018   USD                   20,000.000         93.9860             18,797.20     AA-                7.38
031162AU4      AMGEN INC GLBL SR                                                     Invest. Grade Credit                 2.7256    11/28/2008   USD                   15,000.000         99.7062             14,955.93     A+                 0.01
                                                                                                                                                                                                        For Shareholder Services Call 1-800-927-4648
                                                                                            PVIT Small Cap StocksPLUS® TR Portfolio as of 06/30/2008


Performance data current to the most recent month-end is available at www.pimco.com or by calling (800) 927-4648.

Investors should consider the investment objectives, risks, charges and expenses of these Funds carefully before investing. This and other information is contained in the Fund's prospectus, which may be obtained by contacting your PIMCO
representative at 800-927-4648. Please read the prospectus carefully before you invest or send money.

   CUSIP                             DESCRIPTION                                                SECTOR                 COUPON       MATURITY     CURRENCY      PAR/SHARES/QTY            PRICE        MKT VALUE (USD)       QUALITY      DURATION
060505DH4      BANK OF AMERICA CORP GLBL SR NT                                       Invest. Grade Credit                 6.0000    09/01/2017   USD                  10,000.000          96.6515              9,665.15     AA                  7.15
060505DP6      BANK OF AMERICA CORP GLBL SR NT                                       Invest. Grade Credit                 5.7500    12/01/2017   USD                  30,000.000          94.2117            28,263.51      AA                  7.34
06739GAE9      BARCLAYS BANK PLC SUB NT 144A                                         Invest. Grade Credit                 6.0500    12/04/2017   USD                  10,000.000          98.3319              9,833.19     AA                  7.21
073928G56      JPM BEAR STEARNS CO INC FRN MTNB                                      Invest. Grade Credit                 2.9469    09/09/2009   USD                  30,000.000          98.8721            29,661.63      AA-                 0.10
073928W25      JPM BEAR STEARNS CO INC MTN FRN SR NT                                 Invest. Grade Credit                 2.8388    05/18/2010   USD                  30,000.000          97.6552            29,296.56      AA-                 0.13
172967CX7      CITIGROUP INC GLBL FRN NT                                             Invest. Grade Credit                 2.8688    05/18/2010   USD                  30,000.000          98.1972            29,459.16      AA-                 0.10
172967EQ0      CITIGROUP INC SR NT                                                   Invest. Grade Credit                 5.5000    04/11/2013   USD                  20,000.000          97.7390            19,547.80      AA-                 4.22
173094AA1      CITIGROUP INC JR SUB BD                                               Invest. Grade Credit                 8.3000    12/21/2057   USD                  10,000.000          94.8519              9,485.19     A+                10.71
22237LHE5      COUNTRYWIDE HOME LOAN GTD MTNH                                        Invest. Grade Credit                 6.2500    04/15/2009   USD                  50,000.000          98.5265            49,263.25      BAA-                0.77
22541LBJ1      CREDIT SUISSE FB USA INC FRN                                          Invest. Grade Credit                 2.8756    08/15/2010   USD                  30,000.000          98.4213            29,526.39      AA+                 0.11
23383FBQ7      DAIMLERCHRYSLER NA HLDG FRN                                           Invest. Grade Credit                 3.4028    10/31/2008   USD                  38,000.000          99.8061            37,926.32      A-                  0.10
25468PCD6      WALT DISNEY COMPANY FRN                                               Invest. Grade Credit                 2.7956    09/10/2009   USD                  20,000.000          99.9463            19,989.26      A                   0.10
36962G3P7      GENERAL ELEC CAP CORP GLBL SR NT                                      Invest. Grade Credit                 5.8750    01/14/2038   USD                  20,000.000          91.0472            18,209.44      AAA               13.42
38141EJQ3      GOLDMAN SACHS GROUP INC MTNB                                          Invest. Grade Credit                 3.2500    07/23/2009   USD                  30,000.000          99.3728            29,811.84      AA-                 0.10
40429JAG2      HSBC FINANCE CORP FRN MTN1                                            Invest. Grade Credit                 2.9656    05/10/2010   USD                  30,000.000          98.0098            29,402.94      AA-                 0.10
437076AQ5      HOME DEPOT INC GLBL SR FRN                                            Invest. Grade Credit                 2.9013    12/16/2009   USD                  20,000.000          97.4335            19,486.70      BAA+                0.10
441812KJ2      HOUSEHOLD FINANCE CORP GLBL NT                                        Invest. Grade Credit                 3.0000    11/16/2009   USD                  20,000.000          98.6720            19,734.40      AA-                 0.10
46623ECW7      JP MORGAN CHASE & CO SR FRN                                           Invest. Grade Credit                 2.8100    05/07/2010   USD                  30,000.000          99.0521            29,715.63      AA                  0.13
494550AY2      KINDER MORGAN ENER PART SR UNSEC                                      Invest. Grade Credit                 5.9500    02/15/2018   USD                  30,000.000          97.7416            29,322.48      BAA                 7.45
52517P5X5      LEHMAN BROS HLDGS DOM MTN SR NT                                       Invest. Grade Credit                 6.2000    09/26/2014   USD                  10,000.000          95.6760              9,567.60     A+                  5.20
59018YQ46      MERRILL LYNCH & CO FRN NT                                             Invest. Grade Credit                 4.4950    05/20/2009   USD                 100,000.000          99.3630            99,363.00      A+                  0.10
61532XBS4      MONUMENTAL GLOBAL FUNDNG NT 144A                                      Invest. Grade Credit                 5.5000    04/22/2013   USD                  30,000.000         100.2000            30,060.00      AA                  4.25
61746SBB4      MORGAN STANLEY GLBL FRN                                               Invest. Grade Credit                 2.9931    01/15/2010   USD                  50,000.000          97.9259            48,962.95      AA-                 0.10
65473QAP8      NISOURCE FINANCE CORP FRN                                             Invest. Grade Credit                 3.2081    11/23/2009   USD                  30,000.000          97.2459            29,173.77      BAA-                0.13
677415CM1      OHIO POWER COMPANY - IBC BD FRN                                       Invest. Grade Credit                 2.9075    04/05/2010   USD                  30,000.000          98.0699            29,420.97      A-                  0.00
68389XAD7      ORACLE CORP NT                                                        Invest. Grade Credit                 4.9500    04/15/2013   USD                  30,000.000         101.1158            30,334.74      A                   4.29
78442FDQ8      SLM CORP GLBL FRN                                                     Invest. Grade Credit                 3.0600    07/27/2009   USD                  30,000.000          93.7790            28,133.70      BAA                 0.10
887317AA3      TIME WARNER INC FRN                                                   Invest. Grade Credit                 2.9150    11/13/2009   USD                 100,000.000          97.2102            97,210.20      BAA+                0.10
92343VAH7      VERIZON COMMUNICATIONS FRN SR NT                                      Invest. Grade Credit                 2.8375    04/03/2009   USD                  10,000.000          99.8043              9,980.43     A                   0.25
92976WBC9      WACHOVIA CORP FRN MTN                                                 Invest. Grade Credit                 2.7319    12/01/2009   USD                  30,000.000          97.9188            29,375.64      AA-                 0.10
931142CM3      WAL-MART STORES INC SR NT                                             Invest. Grade Credit                 6.2000    04/15/2038   USD                  20,000.000          98.7173            19,743.46      AA                13.59
949746NX5      WELLS FARGO CO SR UNSEC                                               Invest. Grade Credit                 5.6250    12/11/2017   USD                  30,000.000          97.0681            29,120.43      AA+                 7.43
SWPC43049      BERKSHIRE HATHAWAY FIN SP RYL                                         Invest. Grade Credit                 0.8800    03/20/2013   USD                 100,000.000          (0.2579)              (257.85)    AAA                 0.00
345397TY9      FORD MOTOR CRDT                                                       High Yield Credit                    7.2500    10/25/2011   USD                  30,000.000          77.5703            23,271.09      B+                  2.91
SWPC52651      GMAC LLC SP MYC                                                       High Yield Credit                    1.0500    09/20/2008   USD                  10,000.000          (2.7718)              (277.18)    B                   0.00
SWU0221A8      INF EUR R 1.955/FRCPXTOB RYL                                          Non-U.S. Developed                   1.9550    03/28/2012   EUR                  30,000.000          (3.0472)            (1,440.31)    AAA                -0.56
36828T9B8      GAZPROM LPN                                                           Emerging Markets                    10.5000    10/21/2009   USD                  30,000.000         107.6300            32,289.00      A-                  1.24
SWPC56769      INDONESIA SP 02/08/07 RYL                                             Emerging Markets                     1.0850    03/20/2012   USD                  30,000.000          (4.7025)            (1,410.75)    BA-                 0.00
SWPC57965      PANAMA SP 02/06/07 FBF                                                Emerging Markets                     0.3000    02/20/2009   USD                  30,000.000          (0.1077)               (32.32)    BA+                 0.00
SWPC57973      UKRAINE SP 02/06/07 MYC                                               Emerging Markets                     0.6100    02/20/2009   USD                  30,000.000          (0.7581)              (227.42)    B+                  0.00
026874115      AMERICAN INTL GROUP CONV NEW MONEY                                    Municipal/Other                      8.5000    08/01/2011   USD                     200.000          59.2900            11,858.00      A+                  2.70
060505DR2      BANK OF AMERICA CORP NT FRN                                           Municipal/Other                      8.0000    12/29/2049   USD                  30,000.000          93.9240            28,177.20      AA-                 7.00
38122NPA4      GOLDEN TOB SR-A-1                                                     Municipal/Other                      5.7500    06/01/2047   USD                  30,000.000          85.3140            25,594.20      BAA               13.15
929903EF5      WACHOVIA CORP BD FRN                                                  Municipal/Other                      7.9800    02/28/2049   USD                 100,000.000          92.1050            92,105.00      A                   6.70
313384YV5      FEDERAL HOME LOAN BANK DISC NT                                        Net Cash Equivalents                 2.0000    07/01/2008   USD                 100,000.000          99.9944            99,994.44      A1+                 0.01
888072691      FINL FUTURES MAINTENANCE (GBP)                                        Net Cash Equivalents                 3.5000    12/01/2015   GBP                   2,285.460         101.5577              4,548.41     A1+                 0.00
899100499      FINL FUTURES MAINTENANCE ACCT                                         Net Cash Equivalents                 1.6500    12/01/2015   USD                  74,595.450         100.0000            74,595.45      A1+                 0.00
908004690      STATE STREET OVERNIGHT RATE AUD                                       Net Cash Equivalents                 0.7500    12/31/2015   AUD                       1.000          94.8262                  0.96     A1+                 0.00
911029890      STIF FUND (CNY)                                                       Net Cash Equivalents                 0.0000    12/01/2015   CNY                       1.000          95.9602                  0.15     A1+                 0.00
914025192      STIF FUND (BRL)                                                       Net Cash Equivalents                 0.0000    12/01/2015   BRL                       1.000          77.9345                  0.63     A1+                 0.00
929072692      STATE STREET STIF FUND (EUR)                                          Net Cash Equivalents                 2.5000    12/01/2015   EUR                       2.000          87.2711                  3.15     A1+                 0.00
945002699      STIF FUND (INR)                                                       Net Cash Equivalents                 0.0000    12/01/2015   INR                       1.000          86.0500                  0.02     A1+                 0.00
948078092      STIF FUND (JPY)                                                       Net Cash Equivalents                 0.0000    12/31/2015   JPY                       2.000         106.0050                  0.02     A1+                 0.00
950070094      STIF FUND (MYR)                                                       Net Cash Equivalents                 0.0000    12/31/2015   MYR                       1.000              -                     -       A1+                 0.00
952070092      STIF FUND (MXN)                                                       Net Cash Equivalents                 0.0000    12/31/2015   MXN                       1.000              -                     -       A1+                 0.00
966014896      STIF FUND (PHP)                                                       Net Cash Equivalents                 0.0000    12/01/2015   PHP                       1.000              -                     -       A1+                 0.00
967070095      STIF FUND (PLN)                                                       Net Cash Equivalents                 0.0000    12/01/2015   PLN                       1.000              -                     -       A1+                 0.00
968061499      STIF FUND (SGD)                                                       Net Cash Equivalents                 0.0000    12/01/2015   SGD                       1.000              -                     -       A1+                 0.00
                                                                                                                                                                                                        For Shareholder Services Call 1-800-927-4648
                                                                                            PVIT Small Cap StocksPLUS® TR Portfolio as of 06/30/2008


Performance data current to the most recent month-end is available at www.pimco.com or by calling (800) 927-4648.

Investors should consider the investment objectives, risks, charges and expenses of these Funds carefully before investing. This and other information is contained in the Fund's prospectus, which may be obtained by contacting your PIMCO
representative at 800-927-4648. Please read the prospectus carefully before you invest or send money.

   CUSIP                                DESCRIPTION                                           SECTOR                   COUPON       MATURITY     CURRENCY      PAR/SHARES/QTY            PRICE        MKT VALUE (USD)       QUALITY      DURATION
971070099      STIF FUND (RUB)                                                       Net Cash Equivalents                 0.0000    12/01/2015   RUB                        1.000         93.7786                  0.04     A1+                0.00
972007009      STIF FUND (ZAR)                                                       Net Cash Equivalents                 0.0000    12/01/2015   ZAR                        1.000        117.4223                  0.13     A1+                0.00
974014896      STIF FUND (KRW)                                                       Net Cash Equivalents                 0.0000    12/01/2015   KRW                        1.000             -                     -       A1+                0.00
979078094      STIF FUND (SAR)                                                       Net Cash Equivalents                 0.0000    12/31/2015   SAR                        1.000        101.2433                  0.27     A1+                0.00
981097801      STIF FUND (KWD)                                                       Net Cash Equivalents                 0.0000    12/31/2015   KWD                        1.000         96.7068                  3.77     A1+                0.00
9840608A4      STATE STREET REPO                                                     Net Cash Equivalents                 1.6500    12/01/2015   USD                   53,666.590        100.0000             53,666.59     A1+                0.00
988072690      STATE STREET STIF FUND (GBP)                                          Net Cash Equivalents                 3.5000    12/01/2015   GBP                        1.000        101.4999                  1.99     A1+                0.00
996078093      STIF FUND (AED)                                                       Net Cash Equivalents                 0.0000    12/31/2015   AED                        1.000         99.1724                  0.27     A1+                0.00
AED9106A7      UNITED ARAB EMIRATES DIRHAM                                           Net Cash Equivalents                 0.0000    04/16/2009   USD                    2,200.000          3.6382                604.69                        0.00
AUD8206A2      AUSTRALIAN DOLLARS                                                    Net Cash Equivalents                 0.0000    07/24/2008   USD                    1,600.000          1.0458              1,529.98                        0.00
BRL8184A5      BRAZILIAN REAL-NDF                                                    Net Cash Equivalents                 0.0000    07/02/2008   USD                  178,290.430          1.5914            112,037.22                        0.00
BRL8184A5      BRAZILIAN REAL-NDF                                                    Net Cash Equivalents                 0.0000    07/02/2008   USD                 -178,290.430          1.5914           (112,037.23)                       0.00
BRL8337A1      BRAZILIAN REAL-NDF                                                    Net Cash Equivalents                 0.0000    12/02/2008   USD                   90,371.690          1.6541             54,634.60                        0.00
CNY8318A8      CHINESE - YUAN RENMINBI NDF                                           Net Cash Equivalents                 0.0000    11/13/2008   USD                   47,518.500          6.7014              7,090.79                        0.00
CSH00GRE4      CASH COLLATERAL FUTS GRE USD                                          Net Cash Equivalents                 2.0100    12/31/2060   USD                  275,000.000        100.0000            275,000.00     A1+                0.00
CSH00GSC7      CASH COLLATERAL FUTS GSC USD                                          Net Cash Equivalents                 2.0100    12/31/2060   USD                   10,000.000        100.0000             10,000.00     A1+                0.00
CSH00JPM2      CASH COLLATERAL FUTS JPM USD                                          Net Cash Equivalents                 2.0100    12/31/2060   USD                    1,000.000        100.0000              1,000.00     A1+                0.00
CSH00MLP2      CASH COLLATERAL FUTS MLP USD                                          Net Cash Equivalents                 2.0100    12/31/2060   USD                  123,000.000        100.0000            123,000.00     A1+                0.00
CSH00SAL0      CASH COLLATERAL FUTS SAL USD                                          Net Cash Equivalents                 2.2125    12/31/2060   USD                   10,000.000        100.0000             10,000.00     A1+                0.00
CSH00SLH7      CASH COLLATERAL FUTS SLH USD                                          Net Cash Equivalents                 2.2125    12/31/2060   USD                   20,000.000        100.0000             20,000.00     A1+                0.00
EDH900000      FIN FUT EURO$ CME 3/16/09                                             Net Cash Equivalents                 0.0000    03/17/2009   USD                1,000,000.000         96.6800            966,800.00     AAA                0.25
EDM900004      FIN FUT EURO$ CME 6/15/09                                             Net Cash Equivalents                 0.0000    06/16/2009   USD                1,000,000.000         96.4700            964,700.00     AAA                0.25
EDU900005      FIN FUT EURO$ CME 9/14/09                                             Net Cash Equivalents                 0.0000    09/15/2009   USD                2,000,000.000         96.2150          1,924,300.00     AAA                0.25
EDZ800002      FIN FUT EURO$ CME 12/15/08                                            Net Cash Equivalents                 0.0000    12/16/2008   USD                1,000,000.000         96.8200            968,200.00     AAA                0.25
EDZ900000      FIN FUT EURO$ CME 12/14/09                                            Net Cash Equivalents                 0.0000    12/15/2009   USD                1,000,000.000         95.9350            959,350.00     AAA                0.25
EUR8206J4      EUROPEAN MONETARY UNION EURO                                          Net Cash Equivalents                 0.0000    07/24/2008   USD                  -19,000.000          0.6355            (29,896.91)                       0.00
GBP8224A3      BRITISH POUND STERLING                                                Net Cash Equivalents                 0.0000    08/11/2008   USD                  -32,000.000          0.5042            (63,472.47)                       0.00
INR8225A2      INDIAN RUPEE-INR NDF                                                  Net Cash Equivalents                 0.0000    08/12/2008   USD                  792,825.000         43.3785             18,276.92                        0.00
INR8225A2      INDIAN RUPEE-INR NDF                                                  Net Cash Equivalents                 0.0000    08/12/2008   USD               -1,022,750.000         43.3785            (23,577.35)                       0.00
INR8317A1      INDIAN RUPEE-INR NDF                                                  Net Cash Equivalents                 0.0000    11/12/2008   USD                  250,931.970         43.8925              5,716.97                        0.00
JPY8210B3      JAPANESE YEN                                                          Net Cash Equivalents                 0.0000    07/28/2008   USD                 -640,000.000        105.8298             (6,047.45)                       0.00
KRW8217A4      SOUTH KOREA WON-NDF                                                   Net Cash Equivalents                 0.0000    08/04/2008   USD                9,862,186.000      1,047.6000              9,414.07                        0.00
KRW8217A4      SOUTH KOREA WON-NDF                                                   Net Cash Equivalents                 0.0000    08/04/2008   USD               -9,862,186.000      1,047.6000             (9,414.08)                       0.00
KWD9106A6      KUWAITI DINAR                                                         Net Cash Equivalents                 0.0000    04/16/2009   USD                      200.000          0.2638                758.04                        0.00
L U80000       FIN FUT UK 90DAY LIF 9/17/08                                          Net Cash Equivalents                 0.0000    09/18/2008   GBP                1,000,000.000         93.9000          1,868,750.85     AAA                0.25
MXN8192A8      MEXICAN NUEVO PESO                                                    Net Cash Equivalents                 0.0000    07/10/2008   USD                   38,319.400         10.3204              3,712.97                        0.00
MXN8192A8      MEXICAN NUEVO PESO                                                    Net Cash Equivalents                 0.0000    07/10/2008   USD                  -38,319.400         10.3204             (3,712.98)                       0.00
MYR8317A2      MALAYSIAN RINGGIT NDF                                                 Net Cash Equivalents                 0.0000    11/12/2008   USD                   20,157.000          3.2646              6,174.41                        0.00
MYR9043A1      MALAYSIAN RINGGIT NDF                                                 Net Cash Equivalents                 0.0000    02/12/2009   USD                    9,588.000          3.2620              2,939.34                        0.00
PHP8235A7      PHILIPPINE PESO-NDF                                                   Net Cash Equivalents                 0.0000    08/22/2008   USD                  549,100.000         45.0892             12,178.10                        0.00
PLN8192A1      POLISH ZLOTY                                                          Net Cash Equivalents                 0.0000    07/10/2008   USD                   53,501.130          2.1292             25,127.79                        0.00
PLN8192A1      POLISH ZLOTY                                                          Net Cash Equivalents                 0.0000    07/10/2008   USD                  -53,501.130          2.1292            (25,127.79)                       0.00
RMU8P0006      NYF APUT RUSSELL 1K MINI FUT 9/08 @ 460                               Net Cash Equivalents                 0.0000    09/18/2008   USD                    1,800.000          0.2500                450.00     AAA                0.00
RRP8196F9      OPEN REVERSE REPO - USD                                               Net Cash Equivalents                 2.4500    07/14/2008   USD                 -964,000.000        100.0000           (964,000.00)    AAA                0.00
RTAU80003      FIN FUT RUSSELL 2K MINI NYF 09/18/08                                  Net Cash Equivalents                 0.0000    09/19/2008   USD                    4,100.000        691.7000          2,835,970.00     AAA                0.00
RTAU8P008      NYF APUT RUSSELL 2K MINI FUT 9/08 @ 400                               Net Cash Equivalents                 0.0000    09/19/2008   USD                      300.000          0.1000                 30.00     AAA                0.00
RTAU8P016      NYF APUT RUSSELL 2K MINI FUT 9/08 @ 380                               Net Cash Equivalents                 0.0000    09/19/2008   USD                    1,800.000          0.1000                180.00     AAA                0.00
RTAU8P024      NYF APUT RUSSELL 2K MINI FUT 9/08 @ 390                               Net Cash Equivalents                 0.0000    09/19/2008   USD                    2,000.000          0.1000                200.00     AAA                0.00
RUB8192A2      RUSSIAN RUBLE NDF                                                     Net Cash Equivalents                 0.0000    07/10/2008   USD                  203,940.000         23.4488              8,697.24                        0.00
RUB8192A2      RUSSIAN RUBLE NDF                                                     Net Cash Equivalents                 0.0000    07/10/2008   USD                 -203,940.000         23.4488             (8,697.24)                       0.00
RUB8324A3      RUSSIAN RUBLE NDF                                                     Net Cash Equivalents                 0.0000    11/19/2008   USD                  266,000.000         23.5741             11,283.59                        0.00
RUB8324A3      RUSSIAN RUBLE NDF                                                     Net Cash Equivalents                 0.0000    11/19/2008   USD                 -114,000.000         23.5741             (4,835.83)                       0.00
RUB9126A1      RUSSIAN RUBLE NDF                                                     Net Cash Equivalents                 0.0000    05/06/2009   USD                 -152,000.000         23.8275             (6,379.17)                       0.00
SAR9106A1      SAUDI ARABIA RIYAL                                                    Net Cash Equivalents                 0.0000    04/16/2009   USD                    2,200.000          3.7293                589.93                        0.00
SGD8326A9      SINGAPORE DOLLARS                                                     Net Cash Equivalents                 0.0000    11/21/2008   USD                   21,943.020          1.3500             16,253.96                        0.00
SWU0586A7      IRS GBP R 6ML/6.0 06/19/08 GLM                                        Net Cash Equivalents                 6.0000    06/19/2009   GBP                  100,000.000         (0.2300)              (457.71)    AAA                0.48
SWU0673B9      IRS AUD R 3MBB/7.0 09/15/08 UAG                                       Net Cash Equivalents                 7.0000    09/15/2009   AUD                  100,000.000         (0.9041)              (867.62)    AAA                0.94
SWU0813C8      IRS USD R 3ML/4.0 06/17/09 MYC                                        Net Cash Equivalents                 4.0000    06/17/2010   USD                  200,000.000          0.0506                101.24     AAA                0.97
                                                                                                                                                                                                        For Shareholder Services Call 1-800-927-4648
                                                                                            PVIT Small Cap StocksPLUS® TR Portfolio as of 06/30/2008


Performance data current to the most recent month-end is available at www.pimco.com or by calling (800) 927-4648.

Investors should consider the investment objectives, risks, charges and expenses of these Funds carefully before investing. This and other information is contained in the Fund's prospectus, which may be obtained by contacting your PIMCO
representative at 800-927-4648. Please read the prospectus carefully before you invest or send money.

   CUSIP                            DESCRIPTION                                               SECTOR                   COUPON       MATURITY     CURRENCY      PAR/SHARES/QTY            PRICE        MKT VALUE (USD) QUALITY            DURATION
ZAR8192A0      SOUTH AFRICAN RAND                                                    Net Cash Equivalents                 0.0000    07/10/2008   USD                   3,000.000           7.8511                 382.11                       0.00
ZAR8192A0      SOUTH AFRICAN RAND                                                    Net Cash Equivalents                 0.0000    07/10/2008   USD                  -3,000.000           7.8511                (382.11)                      0.00
ZAR8345A6      SOUTH AFRICAN RAND                                                    Net Cash Equivalents                 0.0000    12/10/2008   USD                   3,000.000           8.1832                 366.60                       0.00
               TOTAL SECURITIES POSITIONS HELD                                                                                                                                                             13,792,221.31
               UNINVESTED CASH PLUS RECEIVABLES                                                                                                                                                                19,318.41
               NET UNSETTLED TRADES                                                                                                                                                                          (107,082.65)
               NET FUTURES HELD                                                                                                                                                                           (10,829,836.48)
               ACCOUNTING MARKET VALUE                                                                                                                                                                      2,874,620.59
                                                                                                                                                                                                                    For Shareholder Services Call 1-800-927-4648
                                                                                                   PVIT Small Cap StocksPLUS® TR Portfolio as of 06/30/2008


Performance data current to the most recent month-end is available at www.pimco.com or by calling (800) 927-4648.

Investors should consider the investment objectives, risks, charges and expenses of these Funds carefully before investing. This and other information is contained in the Fund's prospectus, which may be obtained by contacting your PIMCO
representative at 800-927-4648. Please read the prospectus carefully before you invest or send money.

    CUSIP                                     DESCRIPTION                                             SECTOR                  COUPON MATURITY CURRENCY PAR/SHARES/QTY                              PRICE         MKT VALUE (USD) QUALITY DURATION
Additional Disclosures:
This complete list of portfolio holdings is as of the date above and is subject to change daily. This is not intended as a recommendation, offer or solicitation for the purchase or sale of any financial instrument. References to securities are for illustrative
purposes only. All share classes have the same portfolio but different expenses.

The Fund offers different share classes, which are subject to different fees & expenses (which may affect performance), have different minimum investment requirements and are entitled to different services.

In an environment where interest rates may trend upward, rising rates will negatively impact the performance of most bond funds, and fixed income securities held by a fund are likely to decrease in value. Bond funds and individual bonds with a longer
duration (a measure of the expected life of a security) tend to be more sensitive to changes in interest rates, usually making them more volatile than securities with shorter durations.

All Funds may use derivative instruments for hedging purposes or as part of its investment strategy. Use of these instruments may involve certain costs and risks such as liquidity risk, interest rate risk, market risk, credit risk, management risk and the
risk that a fund could not close out a position when it would be most advantageous to do so. Portfolios investing in derivatives could lose more than the principal amount invested.

The Fund can invest a portion of its assets in non-U.S. securities, which can entail greater risks due to non-U.S. economic and political developments. This risk may be enhanced when investing in Emerging Markets.

These securities may present market, credit, currency, liquidity, legal, political, technical and other risks different from, or greater than, the risks of investing in developed foreign countries.

Investment in a Fund that invests in high-yield, lower-rated securities, will generally involve greater volatility and risk to principal than investments in higher-rated securities.

This Fund is non-diversified, and may concentrate its assets in a smaller number of issuers than a diversified Fund.

Quality rating is done by using the greater of S&P, Moody's or Fitch or equivalent as deemed by a PIMCO portfolio manager.

PIMCO Funds are distributed by Allianz Global Investors Distributors LLC, 840 Newport Center Drive, Newport Beach, CA 92660, (800) 927-4648.

				
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