LIGRX (Natixis:LS Inv Gd Bd;A)
Net Asset Value: 12.70 1-Day Return: 0.02 (0.16%) YTD Return as of 4/5/13:Up 1.65%

Classification: Corp Debt BBB Rtd   Objective: Corp Debt BBB Rtd   Open to New Investors: Yes

Lipper Rating

Total Return Consistent Return Preservation Tax Efficiency Expense

The Lipper Leader system ranks a fund in the following categories: Total Return; Consistent Return; Preservation; Tax Efficiency; and Expenses. Funds are rated in ascending order on a numeric scale of 1 to 5, with '1' representing funds with the lowest rating, and '5' representing the highest rated funds and funds that are Lipper Leaders. Click here for more detail.

NAV Chart | Growth of $10,000
Fund Chart

Total Returns (As of 4/05/2013)

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 YTD1Yr3Yr5Yr10Yr
Fund 1.65 9.03 8.59 8.07 8.45
Classification 1.44 8.98 8.56 7.57 6.14
Index (S&P 500)NANANANANA
% Rank in Class (1-best,100=worst)3451423914

Fund Stats

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Investment Objective:Corp Debt BBB Rtd
Net Assets ($Mil)2,986.70
Inception Date:1/31/02
Manager Name, TenureTeam Managed, NA
Expense Ratio: 0.84%
Sales Charge:
Load Type:
 
Front-End Load
4.50%
0.00%

Top 10 Holdings (As of 9/30/12)

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Company NameSymbol% Net Assets
Corporate Notes/bonds NA 47.56
Fgn. Currency Denominated Bonds NA 30.75
Asset Backed Securities NA 5.22
Convertible Securities NA 3.39
Common Stock NA 1.91
Us$ Denominated Fgn. Gvt. NA 0.81
Government Agency Securities NA 0.56
Gnma And Other Mtg Backed NA 0.19
Preferred Stock-non Convertible NA 0.01
% of Total Holdings 90.4

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