N-2
N-2 | 6 Months Ended |
Dec. 31, 2023 $ / shares shares | |
Cover [Abstract] | |
Entity Central Index Key | 0001510599 |
Amendment Flag | false |
Document Type | N-CSRS |
Entity Registrant Name | PIMCO Dynamic Income Fund |
General Description of Registrant [Abstract] | |
Investment Objectives and Practices [Text Block] | Investment Objective and Strategy Overview PIMCO Dynamic Income Fund’s primary investment objective is to seek current income, and capital appreciation is a secondary objective. Fund Insights at NAV The following affected performance (on a gross basis) during the reporting period: » Holdings related to corporate special situation investments, which include companies undergoing stress, distress, challenges or significant transition contributed to absolute performance, as select securities posted positive returns. » Exposure to corporate credit, notably bank loans and high yield contributed to absolute performance, as the asset classes posted positive returns. » Security selection within mortgage credit contributed to performance, as select securities posted positive returns. » The costs associated with one or more forms of leverage detracted from performance. The costs of leverage generally will reduce returns to the extent they exceed the rate of return on the additional investments purchased with such leverage. » Holdings related to emerging market special situation investments detracted from absolute performance, as select securities posted negative returns. » Security selection within municipal bonds detracted from performance, as a select taxable municipal security posted negative returns. |
Share Price | $ 17.95 |
NAV Per Share | $ 17.18 |
Latest Premium (Discount) to NAV [Percent] | 4.48% |
Common Shares [Member] | |
Capital Stock, Long-Term Debt, and Other Securities [Abstract] | |
Outstanding Security, Title [Text Block] | Common Shares |
Outstanding Security, Held [Shares] | shares | 285,537 |