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Performance and Price

The performance quoted represents past performance, which is no indication of future results. Current performance may be higher or lower than the performance data quoted. Returns shown at net asset value have all distributions reinvested. If a sales charge had been deducted, the results would have been lower. The investment return and principal value of an investment will fluctuate so that shares, on any given day or when redeemed, may be worth more or less than the original cost. Therefore, there can be no assurance of future results.
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Domestic Equity

Daily Prices & YTD Returns
(as of 06/19/2013)
Average Annual Returns (%)
(as of 05/31/2013)
Expense Ratio
Heritage Funds   Latest Month | Latest Quarter  
 
Fund Name NAV ($) Change   YTD (%) 1-YR 3-YR 5-YR 10-YR
Since
Inception
Gross/Net (%)
 
Affiliated Fund (A)
  LAFFX Inception Date: 01/01/1950
($) -0.17 at NAV 16.73 31.62 12.98 2.70 6.04 10.96 Gross 0.85
(%) -1.20 at MOP 10.04 24.03 10.78 1.50 5.42 10.86 Net -
Classic Stock Fund (A)
  LRLCX Inception Date: 06/03/1992
($) -0.45 at NAV 14.07 25.43 11.62 4.17 7.15 9.65 Gross 1.26
(%) -1.27 at MOP 7.53 18.21 9.43 2.94 6.51 9.34 Net 0.98
Developing Growth Fund (A)
  LAGWX Inception Date: 10/10/1973
($) -0.17 at NAV 24.35 29.66 19.73 9.41 11.93 10.59 Gross 1.12
(%) -0.68 at MOP 17.17 22.19 17.38 8.12 11.26 10.42 Net -
Fundamental Equity Fund (A)
  LDFVX Inception Date: 07/15/1996
($) -0.22 at NAV 18.16 30.21 14.29 6.07 9.12 9.99 Gross 1.09
(%) -1.40 at MOP 11.39 22.77 12.05 4.82 8.47 9.61 Net -
Growth Leaders Fund (A)
  LGLAX Inception Date: 06/30/2011
($) -0.15 at NAV 19.88 22.09    -    -    - 9.59 Gross 1.55
(%) -0.80 at MOP 13.00 15.04    -    -    - 6.25 Net 0.85
Growth Opportunities Fund (A)
  LMGAX Inception Date: 08/01/1995
($) -0.28 at NAV 15.71 23.03 13.05 6.51 8.78 9.60 Gross 1.42
(%) -1.23 at MOP 9.05 15.95 10.85 5.26 8.13 9.24 Net 1.40
Mid Cap Stock Fund (A)
  LAVLX Inception Date: 06/28/1983
($) -0.29 at NAV 14.99 30.25 15.55 5.00 8.28 11.08 Gross 1.13
(%) -1.39 at MOP 8.41 22.74 13.29 3.77 7.64 10.86 Net -
Small Cap Blend Fund (A)
  LSBAX Inception Date: 06/26/2001
($) -0.21 at NAV 11.64 23.05 10.82 2.05 9.15 8.10 Gross 1.36
(%) -1.12 at MOP 5.20 15.94 8.65 0.84 8.51 7.57 Net -
Small Cap Value Fund (A)
  LRSCX Inception Date: 12/13/1995
($) -0.40 at NAV 14.70 25.61 13.12 6.24 12.35 12.99 Gross 1.23
(%) -1.07 at MOP 8.12 18.38 10.92 4.99 11.69 12.61 Net -
Value Opportunities Fund (A)
  LVOAX Inception Date: 12/30/2005
($) -0.28 at NAV 17.31 30.59 13.51 8.55    - 10.76 Gross 1.31
(%) -1.42 at MOP 10.57 23.11 11.29 7.27    - 9.87 Net -
Calibrated Funds      
 
Calibrated Dividend Growth Fund (A)
  LAMAX Inception Date: 12/27/2001
($) -0.20 at NAV 13.44 22.85 13.55 6.03 8.15 6.74 Gross 1.23
(%) -1.39 at MOP 6.95 15.79 11.32 4.78 7.50 6.19 Net 0.85
Calibrated Large Cap Value Fund (A)
  LCAAX Inception Date: 12/29/2011
($) -0.31 at NAV 16.69 33.18    -    -    - 27.63 Gross 1.41
(%) -1.48 at MOP 9.97 25.51    -    -    - 22.43 Net 0.75
Calibrated Mid Cap Value Fund (A)
  LVMAX Inception Date: 12/29/2011
($) -0.33 at NAV 18.43 33.62    -    -    - 26.35 Gross 1.63
(%) -1.60 at MOP 11.64 25.95    -    -    - 21.20 Net 0.85
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 5.75%.

Effective March 22, 2013, Lord Abbett Stock Appreciation Fund merged into Lord Abbett Growth Leaders Fund.
Stock Appreciation (A) Fund - Summary Prospectus, Prospectus, Prospectus (XBRL), SAI, Annual Report, Semi-Annual Report.

International

Daily Prices & YTD Returns
(as of 06/19/2013)
Average Annual Returns (%)
(as of 05/31/2013)
Expense Ratio
    Latest Month | Latest Quarter  
 
Fund Name NAV ($) Change   YTD (%) 1-YR 3-YR 5-YR 10-YR
Since
Inception
Gross/Net (%)
 
International Core Equity Fund (A)
  LICAX Inception Date: 12/31/2003
($) -0.24 at NAV 5.19 25.28 9.62 -1.93    - 5.39 Gross 1.47
(%) -1.90 at MOP -0.88 18.11 7.49 -3.08    - 4.73 Net 1.12
International Dividend Income Fund (A)
  LIDAX Inception Date: 06/30/2008
($) -0.16 at NAV 0.93 25.61 9.13    -    - 0.87 Gross 1.36
(%) -1.89 at MOP -4.83 18.35 7.01    -    - -0.34 Net 1.12
International Opportunities Fund (A)
  LAIEX Inception Date: 12/13/1996
($) -0.26 at NAV 11.03 32.37 14.15 1.67 10.21 4.62 Gross 1.52
(%) -1.73 at MOP 4.67 24.72 11.91 0.47 9.56 4.24 Net -
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 5.75%, except for Lord Abbett Emerging Markets Currency Fund 2.25%.

Asset Allocation

Daily Prices & YTD Returns
(as of 06/19/2013)
Average Annual Returns (%)
(as of 05/31/2013)
Expense Ratio
    Latest Month | Latest Quarter  
 
Fund Name NAV ($) Change   YTD (%) 1-YR 3-YR 5-YR 10-YR
Since
Inception
Gross/Net (%)
 
Alpha Strategy Fund (A)
  ALFAX Inception Date: 03/18/1998
($) -0.32 at NAV 18.09 29.40 15.26 6.48 12.03 6.69 Gross 1.71
(%) -1.10 at MOP 11.30 21.96 13.00 5.22 11.37 6.27 Net 1.39
Balanced Strategy Fund (A)
  LABFX Inception Date: 12/27/1994
($) -0.12 at NAV 8.01 22.54 11.42 5.43 6.91 7.51 Gross 1.22
(%) -1.01 at MOP 1.77 15.49 9.24 4.18 6.28 7.16 Net 1.03
Diversified Equity Strategy Fund (A)
  LDSAX Inception Date: 06/30/2006
($) -0.26 at NAV 15.12 27.68 13.07 4.48    - 5.78 Gross 1.44
(%) -1.31 at MOP 8.51 20.31 10.86 3.25    - 4.88 Net 1.07
Diversified Income Strategy Fund (A)
  ISFAX Inception Date: 06/30/2005
($) -0.10 at NAV 4.49 16.22 10.16 7.15    - 6.27 Gross 1.15
(%) -0.64 at MOP -1.55 9.53 8.02 5.89    - 5.47 Net 0.97
Global Allocation Fund (A)
  LAGEX Inception Date: 09/30/1988
($) -0.17 at NAV 4.52 22.25 10.07 2.53 7.08 5.30 Gross 1.56
(%) -1.41 at MOP -1.52 15.24 7.91 1.33 6.44 5.05 Net 1.08
Growth & Income Strategy Fund (A)
  LWSAX Inception Date: 06/30/2005
($) -0.20 at NAV 9.37 24.71 12.32 5.09    - 6.32 Gross 1.26
(%) -1.11 at MOP 3.05 17.51 10.12 3.85    - 5.53 Net 1.04
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 5.75%

Taxable Fixed Income

Daily Prices & YTD Returns
(as of 06/19/2013)
Average Annual Returns (%)
(as of 05/31/2013)
Expense Ratio
    Latest Month | Latest Quarter  
 
Fund Name NAV ($) Change   YTD (%) 1-YR 3-YR 5-YR 10-YR
Since
Inception
Gross/Net (%)
 
Bond Debenture Fund (A)
  LBNDX Inception Date: 04/01/1971
($) -0.02 at NAV 3.29 13.33 10.69 8.18 7.70 8.86 Gross 0.96
(%) -0.24 at MOP -1.66 7.90 8.89 7.12 7.18 8.73 Net -
Convertible Fund (A)
  LACFX Inception Date: 06/30/2003
($) -0.08 at NAV 11.00 22.02 9.60 4.22    - 5.95 Gross 1.13
(%) -0.64 at MOP 8.47 19.28 8.77 3.75    - 5.71 Net 1.06
Core Fixed Income Fund (A)
  LCRAX Inception Date: 08/31/2000
($) -0.06 at NAV -1.71 1.85 5.07 6.23 4.79 6.01 Gross 0.86
(%) -0.55 at MOP -3.94 -0.45 4.26 5.76 4.55 5.82 Net -
Emerging Markets Currency Fund (A)
  LDMAX Inception Date: 09/30/1988
($) -0.06 at NAV -3.50 7.71 3.44 1.30 3.30 5.47 Gross 1.01
(%) -0.94 at MOP -5.64 5.30 2.65 0.85 3.07 5.38 Net -
Floating Rate Fund (A)
  LFRAX Inception Date: 12/31/2007
($) 0.00 at NAV 3.38 9.58 6.96 5.30    - 4.98 Gross 0.81
(%) 0.00 at MOP 1.02 7.12 6.16 4.82    - 4.54 Net -
High Yield Fund (A)
  LHYAX Inception Date: 12/31/1998
($) 0.00 at NAV 4.65 16.71 12.06 10.60 8.84 7.35 Gross 0.96
(%) 0.00 at MOP 2.31 14.15 11.20 10.11 8.59 7.19 Net -
Income Fund (A)
  LAGVX Inception Date: 01/01/1982
($) -0.02 at NAV -0.81 8.54 8.74 8.85 6.08 8.44 Gross 0.87
(%) -0.68 at MOP -3.08 5.99 7.96 8.35 5.85 8.36 Net 0.78
Inflation Focused Fund (A)
  LIFAX Inception Date: 04/29/2011
($) -0.06 at NAV -2.48 4.38    -    -    - 2.18 Gross 0.76
(%) -0.42 at MOP -4.65 2.04    -    -    - 1.06 Net 0.75
Short Duration Income Fund (A)
  LALDX Inception Date: 11/04/1993
($) -0.01 at NAV 0.40 4.98 4.73 5.93 4.32 4.72 Gross 0.59
(%) -0.22 at MOP -1.92 2.51 3.90 5.45 4.08 4.60 Net -
Total Return Fund (A)
  LTRAX Inception Date: 08/31/2000
($) -0.06 at NAV -1.12 4.03 6.17 6.95 5.28 6.37 Gross 0.86
(%) -0.57 at MOP -3.36 1.67 5.38 6.46 5.04 6.18 Net -
USG & GSE Money Market Fund (A)
  LACXX Inception Date: 06/27/1979
($) 0.00 at NAV 0.01 0.02 0.02 0.16 1.35 4.91 Gross 0.66
(%) 0.00 at MOP 0.01 0.02 0.02 0.16 1.35 4.91 Net -
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 2.25%, except for Lord Abbett Bond Debenture Fund 4.75%.

Tax-Free Income

Daily Prices & YTD Returns
(as of 06/19/2013)
Average Annual Returns (%)
(as of 05/31/2013)
Expense Ratio
    Latest Month | Latest Quarter  
 
Fund Name NAV ($) Change   YTD (%) 1-YR 3-YR 5-YR 10-YR
Since
Inception
Gross/Net (%)
 
AMT Free Municipal Bond Fund (A)
  LATAX Inception Date: 10/29/2010
($) -0.05 at NAV -1.63 5.99    -    -    - 7.80 Gross 0.91
(%) -0.31 at MOP -3.84 3.60    -    -    - 6.84 Net 0.60
California Tax Free Fund (A)
  LCFIX Inception Date: 09/03/1985
($) -0.03 at NAV -1.31 5.53 6.90 5.53 3.90 6.18 Gross 0.82
(%) -0.28 at MOP -3.54 3.18 6.09 5.04 3.66 6.09 Net 0.79
High Yield Municipal Bond Fund (A)
  HYMAX Inception Date: 12/30/2004
($) -0.04 at NAV -0.28 10.19 7.55 4.22    - 3.10 Gross 0.86
(%) -0.34 at MOP -2.53 7.69 6.73 3.74    - 2.70 Net 0.80
Intermediate Tax Free Fund (A)
  LISAX Inception Date: 06/30/2003
($) -0.02 at NAV -0.91 3.27 5.46 5.86    - 4.39 Gross 0.70
(%) -0.19 at MOP -3.11 0.95 4.65 5.37    - 4.15 Net 0.69
National Tax Free Fund (A)
  LANSX Inception Date: 04/02/1984
($) -0.03 at NAV -1.58 6.48 7.62 6.50 4.32 6.94 Gross 0.79
(%) -0.27 at MOP -3.81 4.07 6.82 6.01 4.09 6.85 Net 0.73
New Jersey Tax Free Fund (A)
  LANJX Inception Date: 01/02/1991
($) -0.02 at NAV -2.21 4.53 6.09 5.03 3.61 5.49 Gross 0.84
(%) -0.41 at MOP -4.47 2.27 5.29 4.56 3.38 5.38 Net 0.82
New York Tax Free Fund (A)
  LANYX Inception Date: 04/02/1984
($) -0.03 at NAV -1.77 4.21 5.74 5.54 3.98 6.70 Gross 0.84
(%) -0.27 at MOP -3.96 1.85 4.93 5.05 3.75 6.61 Net 0.78
Short Duration Tax Free Fund (A)
  LSDAX Inception Date: 12/31/2008
($) -0.01 at NAV 0.19 1.26 2.34    -    - 3.26 Gross 0.70
(%) -0.06 at MOP -2.09 -1.04 1.57    -    - 2.73 Net 0.63
Maximum Offering Price (MOP) - Returns with sales charges reflect a maximum sales charge of 2.25%.