Website Feedback

Use this form to give us your feedback or report any problems you experienced finding information on our Website.

* Indicates Required Fields

Website Feedback

Thank you for providing feedback.

For Financial Investoraccs
 
| |
loading...

High Yield Fund (LHYAX) - Class A

Fund Finder

Portfolio Breakdown

(as of 04/30/2013)
The Fund's portfolio is actively managed and is subject to change. "Other" may include municipal bonds and non-index holdings.

Credit Quality Distribution

(as of 04/30/2013)
Ratings provided by Standard & Poor's and Moody's. Where S&P and Moody's rate a security differently, Lord Abbett uses the higher credit rating. Ratings range from AAA (highest) to D (lowest). Bonds rated BBB or above are considered investment grade. Credit ratings BB and below are lower-rated securities (junk bonds). High-yielding, non investment grade bonds (junk bonds) involve higher risks than investment grade bonds. Adverse conditions may affect the issuer's ability to pay interest and principal on these securities. A portion of the portfolio's securities are not rated. The credit quality distribution breakdown is not an S&P credit rating or an opinion of S&P as to the credit worthiness of the portfolio.
Portfolio Positioning (as of 03/29/2013)
  • While we remain generally constructive on the high-yield market from a fundamental perspective, given certain market technicals, we do not expect further significant spread tightening.
  • Credit fundamentals remain good overall, and investors' search for yield should continue to support the high-yield market. However, we remain somewhat cautious, given various global uncertainties that may cause volatility in the markets.
  • Regarding industries, we continue to find value in services and consumer cyclicals (especially retailers). We also see good relative value in international food names within the consumer non-cyclical sector. We remain underweight banking, steel, packaging, and wireline relative to the benchmark.
  • Relative to the portfolio's benchmark, the BofA Merrill Lynch High Yield Master II Constrained Index, we continue to overweight 'B' rated securities.
The Fund's portfolio is actively managed and may change significantly over time.

The credit qualities of securities in the portfolio are assigned by a nationally recognized statistical rating organization (NRSRO), such as Standard & Poor's, Moody's, or Fitch, as an indication of an issuer's creditworthiness. Ratings range from 'AAA' (highest) to 'D' (lowest). Bonds rated 'BBB' or above are considered investment grade. Credit ratings 'BB' and below are lower-rated securities (junk bonds). High-yielding, non-investment-grade bonds (junk bonds) involve higher risks than investment-grade bonds. Adverse conditions may affect the issuer's ability to pay interest and principal on these securities.

Ten Largest Issues

(as of 04/30/2013)

All Issues

(as of 03/28/2013)
Issue Coupon (%) Maturity Assets (%)
First Data Corp. 12.6 01/15/2021 1.0
Alliance Data Systems, Inc. 6.4 04/01/2020 0.8
Constellation Brands    - 12/30/2013 0.7
AMC Networks, Inc. 7.8 07/15/2021 0.7
Delphi Corp. 5.0 02/15/2023 0.7
H.J. Heinz Co.    - 11/13/2013 0.6
LBG Capital No.1 plc 8.0 0.5
Elizabeth Arden, Inc. 7.4 03/15/2021 0.5
Matterhorn Midco & Cy SCA 7.8 02/15/2020 0.5
Sprint Nextel Corp. 9.0 11/15/2018 0.5
  % of Total Assets 6.5
Aggregate holdings are updated monthly, 30 days after month end. Aggregate holdings including asset allocation are presented to illustrate examples of the securities that the Fund has bought and the diversity of the areas in which the Fund may invest, and may not be representative of the Fund's current or future investments. The figures presented are as of the date shown and may change at any time.

RELATED CONTENT

Portfolio Details

(as of 04/30/2013)
Number of Issues 485
Average Coupon 7.73%
Average Maturity 7.02 Years
Modified Duration 5.42 Years
Total Net Assets $2.58 B

Investment Team

Team Leaders
Steven F. Rocco, CFA
Partner
Years Experience:  13
Christopher J. Towle, CFA
Partner
Years Experience:  34
Supported By
23 Investment Professionals
13 Years Avg. Industry Experience
Years experience refers to industry experience.