PIMCO Floating Rate Income Fund Reports Results for the Fiscal Quarter and Six Months Ended January 31, 2005


NEW YORK, March 30, 2005 (PRIMEZONE) -- Floating Rate Income Fund (the "Fund") (NYSE:PFL), a closed-end management investment company which seeks high current income consistent with the preservation of capital, today announced its results for the fiscal quarter and six months ended January 31, 2005.


                         At January 31, 2005      At January 31, 2004
                         -------------------      -------------------
 Net Assets (a)             $564,344,400              $555,689,035
 Shares Outstanding           17,981,553                17,807,405
 Net Asset Value ("NAV")          $19.71                    $19.41
 Market Price                     $21.30                    $20.10
 Premium to NAV                     8.07%                     3.55%

 (a) Net assets are inclusive of $210 million
     Preferred Shares issuance.


                               Quarter ended            Quarter ended
                             January 31, 2005         January 31, 2004
                             ----------------         ----------------
 Net Investment Income          $5,317,167                $3,004,305
 Per Share                           $0.30                     $0.17
 Net Realized and
  Unrealized Gain               $4,097,956                $4,367,910
 Per Share                           $0.24                     $0.25


                                     Six months ended
                                     January 31, 2005
                                     ----------------

 Net Investment Income                  $10,960,933
 Per Share                                    $0.61
 Net Realized and Unrealized Gain        $9,244,361
 Per Share                                    $0.52

PA Fund Management LLC, an indirect, wholly-owned subsidiary of Allianz Global Investors of America, L.P., serves as the Fund's 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 Fund's sub-adviser. Allianz is a leading global financial services company.

The Fund's daily New York Stock Exchange closing price, weekly net asset value per share as well as other information is available at www.pimcoadvisors.com or by calling the Fund's transfer agent at 1-800-331-1710.



            

Contact Data