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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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Taxable Fixed Income

Daily Prices & YTD Returns
(as of 05/24/2013)
Average Annual Returns (%)
(as of 04/30/2013)
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
($) -0.01 at NAV 5.16 11.77 9.56 8.38 7.90 8.88 Gross 0.96
(%) -0.12 at MOP 0.12 6.41 7.80 7.33 7.37 8.76 Net -
Convertible Fund (A)
  LACFX Inception Date: 06/30/2003
($) -0.02 at NAV 12.25 12.76 6.71 4.05    - 5.70 Gross 1.13
(%) -0.16 at MOP 9.70 10.25 5.91 3.57    - 5.45 Net 1.06
Core Fixed Income Fund (A)
  LCRAX Inception Date: 08/31/2000
($) 0.00 at NAV -0.06 4.59 5.89 6.49 5.18 6.20 Gross 0.86
(%) 0.00 at MOP -2.32 2.21 5.08 6.00 4.94 6.01 Net -
Emerging Markets Currency Fund (A)
  LDMAX Inception Date: 09/30/1988
($) -0.01 at NAV -0.33 5.03 3.04 2.43 4.10 5.66 Gross 1.01
(%) -0.15 at MOP -2.54 2.67 2.24 1.97 3.87 5.56 Net -
Floating Rate Fund (A)
  LFRAX Inception Date: 12/31/2007
($) 0.00 at NAV 3.69 8.46 6.29 5.38    - 5.03 Gross 0.81
(%) 0.00 at MOP 1.32 6.06 5.50 4.89    - 4.58 Net -
High Yield Fund (A)
  LHYAX Inception Date: 12/31/1998
($) -0.01 at NAV 6.38 14.80 10.64 10.68 8.94 7.42 Gross 0.96
(%) -0.12 at MOP 3.99 12.20 9.79 10.19 8.69 7.25 Net -
Income Fund (A)
  LAGVX Inception Date: 01/01/1982
($) 0.00 at NAV 1.89 10.37 9.09 9.28 6.48 8.54 Gross 0.87
(%) 0.00 at MOP -0.43 7.80 8.32 8.78 6.24 8.46 Net 0.78
Inflation Focused Fund (A)
  LIFAX Inception Date: 04/29/2011
($) 0.01 at NAV -0.95 4.18    -    -    - 2.97 Gross 0.76
(%) 0.07 at MOP -3.16 1.82    -    -    - 1.79 Net 0.75
Short Duration Income Fund (A)
  LALDX Inception Date: 11/04/1993
($) 0.00 at NAV 1.23 5.01 4.75 6.04 4.45 4.76 Gross 0.59
(%) 0.00 at MOP -1.11 2.56 3.93 5.56 4.20 4.64 Net -
Total Return Fund (A)
  LTRAX Inception Date: 08/31/2000
($) 0.00 at NAV 0.74 6.24 6.80 7.20 5.64 6.55 Gross 0.86
(%) 0.00 at MOP -1.54 3.83 6.00 6.71 5.39 6.36 Net -
USG & GSE Money Market Fund (A)
  LACXX Inception Date: 06/27/1979
($) 0.00 at NAV 0.01 0.02 0.02 0.18 1.35 4.92 Gross 0.66
(%) 0.00 at MOP 0.01 0.02 0.02 0.18 1.35 4.92 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%.