LDMVX | Emerging Markets Bond Fund Class R6 | Lord Abbett

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(as of 12/05/2015)

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Emerging Markets Bond Fund

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Summary

Summary

What is the Emerging Markets Bond Fund?

The fund seeks to deliver a high total return by primarily investing in debt securities that are tied economically to emerging market countries.

Yield

Average Yield to Maturity as of 10/31/2025

6.37%

Distribution Yield as of 12/05/2025  

5.47%

30-Day Standardized Yield 1 as of 11/30/2025  

  Subsidized2 Un-Subsidized3
w/o sales charge 5.11% 5.08%

Fund Basicsas of 10/31/2025

Total Net Assets
$121.78 M
Inception Date
06/30/2015
Dividend Frequency
Monthly
Fund Gross Expense Ratio
0.80%
Fund Net Expense Ratio
0.80%
Number of Holdings
234

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2015
w/o sales charge 13.18% 12.05% 10.62% 2.42% 4.04% 3.26%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds 12.79% 11.51% 10.39% 2.45% 4.10% -
J.P. Morgan EMBI Global Diversified Index 13.48% 11.90% 10.45% 2.02% 4.18% 4.10%
w/ sales charge 13.18% 12.05% 10.62% 2.42% 4.04% 3.26%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2015
w/o sales charge 10.41% 9.25% 12.66% 2.86% 3.91% 3.06%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds 10.40% 8.14% 12.23% 2.97% 4.18% -
J.P. Morgan EMBI Global Diversified Index 10.66% 8.52% 12.29% 2.27% 4.19% 3.91%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

Region Assets
Latin America
Middle East/Africa
Europe
Asia
North America

Credit Quality Distribution as of 10/31/2025

Rating Assets
AA
A
BBB
BB
B
CCC
Not Rated

INVESTMENT TEAM

Mila Skulkina
Mila Skulkina, CFA

Senior Managing Director, Portfolio Manager

24 Years of Industry Experience

Steven F. Rocco
Steven F. Rocco, CFA

Partner, Co-Head of Taxable Fixed Income

24 Years of Industry Experience

Supported By 64 Investment Professionals with 15 Years Avg. Industry Experience

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Performance

Performance

Average Yield to Maturity as of 10/31/2025

6.37%

Distribution Yield as of 12/05/2025  

5.47%

30-Day Standardized Yield 1 as of 11/30/2025  

  Subsidized2 Un-Subsidized3
w/o sales charge 5.11% 5.08%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2015
w/o sales charge 13.18% 12.05% 10.62% 2.42% 4.04% 3.26%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds 12.79% 11.51% 10.39% 2.45% 4.10% -
J.P. Morgan EMBI Global Diversified Index 13.48% 11.90% 10.45% 2.02% 4.18% 4.10%
w/ sales charge 13.18% 12.05% 10.62% 2.42% 4.04% 3.26%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2015
w/o sales charge 10.41% 9.25% 12.66% 2.86% 3.91% 3.06%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds 10.40% 8.14% 12.23% 2.97% 4.18% -
J.P. Morgan EMBI Global Diversified Index 10.66% 8.52% 12.29% 2.27% 4.19% 3.91%

Fund Expense Ratio :

Gross 0.80%

Net 0.80%

Year Fund Returns J.P. Morgan EMBI Global Diversified Index
2024 7.36% 6.54%
2023 10.65% 11.09%
2022 -15.48% -17.78%
2021 -2.62% -1.80%
2020 5.01% 5.26%
2019 16.15% 15.04%
2018 -6.17% -4.26%
2017 10.99% -
2016 6.04% -
Year Q1 Q2 Q3 Q4
2025 1.92% 2.94% 5.24% -
2024 1.92% 0.30% 6.14% -1.06%
2023 1.26% 2.03% -2.34% 9.66%
2022 -8.23% -11.64% -4.40% 9.04%
2021 -4.64% 3.95% -0.90% -0.87%
2020 -15.37% 13.84% 2.16% 6.69%
2019 7.50% 4.33% 0.74% 2.80%
2018 2.61% -7.70% 1.17% -2.07%
2017 5.18% 1.75% 2.31% 1.36%
2016 4.22% 1.84% 2.39% -2.42%

NAV Historical Prices

Date Net Asset Value

Portfolio

Portfolio

Type Assets
Sovereign
Investment Grade Corporate
High Yield Corporate
Currency
Cash
Rating Assets
Less than 1 year
1-2.99 years
3-4.99 years
5-6.99 years
7-9.99 years
Greater than 10 years

Credit Quality Distribution as of 10/31/2025

Rating Assets
AA
A
BBB
BB
B
CCC
Not Rated

Portfolio Details as of 10/31/2025

Total Net Assets
$121.78 M
Average Effective Duration
6.64 Years
Average Life
11.3 Years
Average Maturity
11.72 Years
Average Modified Duration
6.96 Years
Number of Issues
234
Average Yield to Maturity
6.37%
Distribution Yield (as of 12/05/2025)
5.47%

Dividends & Cap Gains

Dividends & Cap Gains

Dividend Payments

For
YTD Dividends Paidas of 12/05/2025
$0.22773
Dividend Frequency
Monthly (Daily Accrual)
Record Date Ex-Dividend Date Reinvest & Payable Date Dividend Reinvest Price
Daily Daily 11/30/2025 $0.02057 $4.51
Daily Daily 10/31/2025 $0.02071 $4.51
Daily Daily 09/30/2025 $0.02094 $4.44
Daily Daily 08/31/2025 $0.02138 $4.37
Daily Daily 07/31/2025 $0.02060 $4.32
Daily Daily 06/30/2025 $0.02055 $4.28
Daily Daily 05/31/2025 $0.02101 $4.19
Daily Daily 04/30/2025 $0.02126 $4.16
Daily Daily 03/31/2025 $0.01788 $4.22
Daily Daily 02/28/2025 $0.02091 $4.29
Daily Daily 01/31/2025 $0.02192 $4.25

Upcoming Dividend Payment Dates

This section lists all anticipated income and Capital Gain distribution dates and any actual distributions are subject to adequacy of earnings and must be approved by the Board of Directors/Trustees. Please note that dates are subject to change.

Record Date Ex-Dividend Date Reinvest & Payable Date
Daily Daily 12/31/2025

Fees & Expenses

Fees & Expenses

Expense Ratioas of 11/30/2025

Fund Gross Expense Ratio 0.80%
Fund Net Expense Ratio 0.80%

Fund Documents

Fund Documents

0Documents selected
Portfolio Holdings 1Q
Publish Date:11/03/2015
Portfolio Holdings 3Q
Publish Date:11/03/2015
Summary Prospectus
Publish Date:11/03/2015
Statutory Prospectus
Publish Date:11/03/2015
SAI
Publish Date:11/03/2015
2024 Annual Tailored Shareholder Report
Publish Date:11/03/2015
Fact Sheet
Publish Date:11/03/2015
* includes items 7-11 of form N-CSR as required, if any.

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