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Core Fixed Income Fund (LCRAX) - Class A

Fund Finder
Yield(as of 05/21/2013)
Dividend Yield Subsidized1 Unsubsidized2
NAV - 2.07%
MOP - 2.03%
30-Day Standardized Yield (as of 04/30/2013) 1.31%

Price(as of 05/21/2013)
  Price ($) Change ($) Change (%)
NAV 11.14 0.01 0.09
MOP 11.40 0.01 0.09
52-Week High & Low at NAV ($)
High (11/08/2012) 11.42
Low (03/08/2013) 11.09
In absence of the fee waiver, yields shown would have been lower. Yields for other share classes will vary.
YTD & Best, Worst Returns
YTD Returns at NAV
(as of 05/21/2013)
0.28%  
Best Returns at NAV Fund (%) Index (%)
3-MO (11/01/2008 - 01/31/2009) 6.62 6.16
1-YR (11/01/2008 - 10/31/2009) 19.52 13.79
Worst Returns at NAV Fund (%) Index (%)
3-MO (08/01/2008 - 10/31/2008) -5.33 -2.76
1-YR (12/01/2007 - 11/30/2008) -2.82 1.74
Best & Worst returns reflect a cumulative return for the three-month period and annualized returns for the one-year period.

Average Annual Returns

(as of 04/30/2013)
View as:
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 include the reinvestment of all distributions. Returns shown at net asset value do not reflect the current maximum sales charge, had the sales charge been included, returns 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.

Growth of $10,000

(as of 12/31/2012)
Based on a hypothetical Class A share investment of $10,000 on 08/31/2000, at net asset value and includes the reinvestment of all distributions.
Yearly Returns (as of 12/31/2012)
View as:
  •  
  •  

  2012(%) 2011(%) 2010(%) 2009(%) 2008(%) 2007(%) 2006(%) 2005(%) 2004(%) 2003(%)
NAV 5.84 7.60 6.66 12.49 1.12 6.15 3.97 2.14 3.71 3.82
Index 4.22 7.84 6.54 5.93 5.24 6.97 4.33 2.43 4.34 4.10
Performance is shown for each calendar year. Past performance is no guarantee of future results.
Quarterly Returns at NAV (as of 05/21/2013)
Year Q1 (%) Q2 (%) Q3 (%) Q4 (%) Yearly Returns (%)
Year Q1 (%) Q2 (%) Q3 (%) Q4 (%) Yearly Returns (%)
2013 0.00    -    -    - 0.28
2012 1.11 2.06 1.97 0.57 5.84
2011 0.58 2.19 3.56 1.09 7.60
2010 2.16 3.13 2.67 -1.40 6.66
2009 2.40 3.95 5.43 0.24 12.49
2008 1.19 -0.08 -1.27 1.30 1.12
2007 1.36 -0.74 2.79 2.65 6.15
2006 -0.56 -0.27 3.75 1.06 3.97
2005 -0.20 2.87 -0.90 0.39 2.14
2004 2.37 -2.39 2.96 0.81 3.71
2003 1.18 2.68 -0.26 0.19 3.82
2002 0.00 2.80 3.86 2.38 9.30
2001 3.27 0.53 5.03 0.37 9.45
2000    -    -    - 4.71 5.70
Historical Prices(as of 05/21/2013)
Current Dates Selected:
(04/22/2013 - 05/21/2013)
NAV High (05/01/2013)
NAV Low (05/14/2013)
Select Date Range:
Time period cannot exceed 12 months
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Date NAV ($)
Date
NAV ($)
05/21/2013 11.14
05/20/2013 11.13
05/17/2013 11.13
05/16/2013 11.17
05/15/2013 11.14
05/14/2013 11.13
05/13/2013 11.14
05/10/2013 11.15
05/09/2013 11.19
05/08/2013 11.20
05/07/2013 11.19
05/06/2013 11.19
05/03/2013 11.20
05/02/2013 11.25
05/01/2013 11.25
04/30/2013 11.23
04/29/2013 11.23
04/26/2013 11.23
04/25/2013 11.21
04/24/2013 11.22
04/23/2013 11.22
04/22/2013 11.22

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Risk Measures

(as of 03/31/2013)
Alpha 0.73%
Beta 0.94
R–Squared 96.18
Sharpe Ratio 2.52
Standard Deviation 2.32%
Upside Capture Ratio 102.92%
Downside Capture Ratio 82.03%
To view definitions for the above Risk Measures, click here.