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1. Initial UniverseAll currencies from countries represented in the JPMorgan Emerging Local Markets Index Plus |
2. Global Analysis
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3. Macro Economic Themes & Country Analysis
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3. Macro Economic Themes & Country Analysis
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4. Portfolio Construction and Risk Management
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The goal of this Fund is long-term growth of capital and current income through investing in currencies of emerging markets. This Fund seeks to identify currencies of countries where the positive fundamentals are not fully reflected in the currency's relative value.
| Ticker | LDMAX |
| CUSIP | 543908867 |
| Fund Number | 8 |
| Inception Date | 09/30/1988 |
| YTD Returns at NAV (as of 05/17/2013) | 0.38% |
| Dividend Frequency |
Monthly (Daily Accrual) |
| Expense Ratio (as of 04/30/2013) | 1.01% |
| Lipper Category Avg. | 1.09% |
| Total Net Assets (as of 04/30/2013) | $463.61 M |
| Minimum Initial Investment | $1,000 |
| Dividend Yield | Subsidized1 | Unsubsidized2 |
| NAV | - | 2.71% |
| MOP | - | 2.65% |
| 30-Day Standardized Yield (as of 04/30/2013) | 1.03% | |
| Price ($) | Change ($) | Change (%) | |
| NAV | 6.59 | -0.02 | -0.30 |
| MOP | 6.74 | -0.02 | -0.30 |
| 52-Week High & Low at NAV ($) | ||
| High (02/01/2013) | 6.73 | |
| Low (06/01/2012) | 6.10 | |
| YTD (%) | 1-YR (%) | 3-YR (%) | 5-YR (%) | 10-YR (%) | Since Inception (%) |
||
|---|---|---|---|---|---|---|---|
| NAV | 1.62 | 5.03 | 3.04 | 2.43 | 4.10 | 5.66 | |
| Lipper Category Avg. | 0.26 | 1.08 | 1.69 | 0.92 | 4.20 | - | |
| Index | 1.11 | 2.96 | 2.49 | 2.05 | 7.09 | - | |
| MOP | -0.62 | 2.67 | 2.24 | 1.97 | 3.87 | 5.56 | |
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| YTD (%) | 1-YR (%) | 3-YR (%) | 5-YR (%) | 10-YR (%) | Since Inception (%) |
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|---|---|---|---|---|---|---|---|
| NAV | -0.12 | 3.31 | 2.47 | 2.61 | 4.09 | 5.61 | |
| Lipper Category Avg. | -0.44 | 0.19 | 1.51 | 0.80 | 4.21 | - | |
| Index | -0.30 | 1.72 | 2.07 | 2.04 | 7.40 | - | |
| MOP | -2.33 | 1.00 | 1.68 | 2.14 | 3.85 | 5.51 | |
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Exposure
Provides investors with an asset class that reduces exposure to a rise in U.S. interest rates and provides and opportunity to benefit from a decline in the U.S. dollar.
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FUND DOCUMENTS
RELATED CONTENT
| 04/10/2013 | Article |
| 03/12/2013 | Article |
| 02/05/2013 | Article |
|
Leah G. Traub, Ph.D.
Partner Years Experience: 12 |
|
|
David B. Ritt, CFA
Years Experience: 16 |
Performance data quoted is historical. Past performance is not indicative of future results. Current performance may be higher or lower than the performance quoted. The investment return and principal value of an investment in the Fund will fluctuate so that shares, on any given day or when redeemed, may be worth more or less than their original cost. To obtain performance data current to the most recent quarter-end, go to quarter ending performance on our Website or call Lord Abbett at (888) 522-2388.
Lipper Category Average - Peer group averages are based on universes of funds with the same investment objectives. The average return for the peer group is based on the returns of each individual fund within the group for the period shown. This average assumes reinvestment of dividends.
Expense ratio: Lipper category average reflects the average expenses of Class A shares of all funds with in the peer group based on Lipper data available.
1 The Fund’s dividend yield is shown without sales charges (at NAV) and with maximum sales charges (at MOP). The Fund’s dividend yield takes into account any fee waiver or expense limitation arrangements, if any. Without such fee waivers or expense limitation arrangements, the Fund’s dividend yield would have been lower. Information regarding any fee waivers or expense limitation arrangements applicable to the Fund is provided with the Fund’s expense ratio information.
Lipper Category Avg.
Currency Funds
Dividend Yield
A financial ratio that shows how much a mutual fund pays out in dividends each year relative to its Net Asset Value (NAV) or Maximum Offering Price (MOP). The dividend yield is calculated by annualizing the last dividend and dividing it by the fund’s NAV or MOP.
NAV
The net asset value (NAV) is the fund’s assets minus its liabilities. NAV is one indicator of the fund’s worth.
MOP
Maximum offering price. The price of a share or value of an investment that reflects sales charges that have been assessed.
30-Day Standardized Yield
The Standardized Yield represents net investment income earned by a fund over a 30-day period. It is expressed as an annual percentage rate using a method of calculation adopted by the Securities and Exchange Commission (SEC). In absence of the fee waiver, 30-Day Standardized Yield would have been lower. Yields for other share classes will vary.
Inception Date
09/30/1988
Index
Blended Index