ISFAX | Multi-Asset Income Fund Class A | Lord Abbett

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Multi-Asset Income Fund

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Summary

Summary

What is the Multi-Asset Income Fund?

The Fund seeks to deliver current income and the opportunity for capital appreciation by investing primarily in Lord Abbett Funds that invest in a wide variety of bonds along with select US and international stocks.

DIVERSE ASSETS

This Fund is designed with the flexibility to invest in bonds, stocks, and currencies from around the world.

TACTICALLY MANAGED

The investment team can rapidly shift allocations based on market opportunities and to hedge unwanted exposures.

HISTORICALLY DELIVERED HIGH INCOME WITH GROWTH

Led by a senior Investment Committee, the Fund has delivered competitive income with growth.

Yield

12-Month Dividend Yield 1 as of 02/06/2026  

w/o sales charge 3.16%
w/ sales charge 3.09%

30-Day Standardized Yield 2 as of 01/31/2026  

2.93%

Fund Basicsas of 12/31/2025

Total Net Assets
$787.26 M
Inception Date
06/30/2005
Dividend Frequency
Monthly
Fund Gross Expense Ratio
1.19%
Fund Net Expense Ratio
1.19%
Adjusted Expense Ratio
1.02%
Minimum Initial Investment
$1,500+

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2005
w/o sales charge 1.41% 10.66% 9.42% 4.55% 6.55% 5.69%
Lipper Category Avg. Mixed-Asset Trgt Alloc Con Fds 1.28% 10.19% 7.83% 3.80% 5.18% -
Bloomberg U.S. Aggregate Bond Index 0.11% 6.85% 3.65% -0.20% 1.88% 3.16%
w/ sales charge -0.89% 8.14% 8.59% 4.08% 6.31% 5.57%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2005
w/o sales charge 11.37% 11.37% 10.11% 4.23% 6.12% 5.64%
Lipper Category Avg. Mixed-Asset Trgt Alloc Con Fds 10.50% 10.50% 8.84% 3.48% 4.90% -
Bloomberg U.S. Aggregate Bond Index 7.30% 7.30% 4.66% -0.36% 2.01% 3.17%
w/ sales charge 8.85% 8.85% 9.27% 3.76% 5.88% 5.52%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

INVESTMENT TEAM

Giulio Martini
Giulio Martini

Partner, Director of Strategic Asset Allocation

41 Years of Industry Experience

Robert A. Lee
Robert A. Lee

Partner, Co-Head of Taxable Fixed Income

35 Years of Industry Experience

Steven F. Rocco
Steven F. Rocco, CFA

Partner, Co-Head of Taxable Fixed Income

25 Years of Industry Experience

Jahiz Barlas
Jahiz Barlas, Ph.D.

Portfolio Manager

16 Years of Industry Experience

Supported By 4 Investment Professionals with 35 Years Avg. Industry Experience

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Performance

Performance

12-Month Dividend Yield 1 as of 02/06/2026  

w/o sales charge 3.16%
w/ sales charge 3.09%

30-Day Standardized Yield 2 as of 01/31/2026  

  Subsidized5 Un-Subsidized6
w/o sales charge 2.93% 2.93%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2005
w/o sales charge 1.41% 10.66% 9.42% 4.55% 6.55% 5.69%
Lipper Category Avg. Mixed-Asset Trgt Alloc Con Fds 1.28% 10.19% 7.83% 3.80% 5.18% -
Bloomberg U.S. Aggregate Bond Index 0.11% 6.85% 3.65% -0.20% 1.88% 3.16%
w/ sales charge -0.89% 8.14% 8.59% 4.08% 6.31% 5.57%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/30/2005
w/o sales charge 11.37% 11.37% 10.11% 4.23% 6.12% 5.64%
Lipper Category Avg. Mixed-Asset Trgt Alloc Con Fds 10.50% 10.50% 8.84% 3.48% 4.90% -
Bloomberg U.S. Aggregate Bond Index 7.30% 7.30% 4.66% -0.36% 2.01% 3.17%
w/ sales charge 8.85% 8.85% 9.27% 3.76% 5.88% 5.52%

Fund Expense Ratio :

Gross 1.19%

Net 1.19%

Year Fund Returns Bloomberg U.S. Aggregate Bond Index
2025 11.37% 7.30%
2024 9.95% 1.25%
2023 9.03% 5.53%
2022 -14.30% -13.01%
2021 7.54% -1.54%
2020 13.81% 7.51%
2019 15.86% 8.72%
2018 -6.41% 0.01%
2017 9.17% 3.54%
2016 9.28% 2.65%
2015 -3.33% -
2014 3.44% -
2013 10.82% -
2012 12.86% -
2011 1.02% -
2010 12.51% -
2009 35.86% -
2008 -23.38% -
2007 2.91% -
2006 10.09% -
Year Q1 Q2 Q3 Q4
2026 - - - -
2025 1.03% 4.41% 3.92% 1.60%
2024 4.62% 0.23% 5.85% -0.95%
2023 2.58% 1.24% -2.39% 7.55%
2022 -5.60% -10.45% -2.22% 3.68%
2021 3.21% 2.48% -0.57% 2.25%
2020 -13.49% 13.27% 5.05% 10.57%
2019 8.33% 2.62% -0.37% 4.61%
2018 -0.25% 0.49% 2.79% -9.17%
2017 2.93% 1.60% 2.12% 2.23%
2016 0.51% 2.81% 3.97% 1.72%
2015 2.10% -0.08% -5.25% 0.00%
2014 2.35% 3.05% -2.01% 0.08%
2013 4.06% -0.60% 3.47% 3.54%
2012 6.78% -1.79% 4.48% 3.00%
2011 4.02% 0.88% -8.65% 5.38%
2010 3.99% -3.12% 7.32% 4.06%
2009 0.84% 13.95% 12.67% 4.93%
2008 -4.75% 0.60% -7.94% -13.15%
2007 2.30% 1.25% 0.75% -1.38%
2006 2.05% 0.04% 3.53% 4.16%

Growth of $10,000 as of 01/31/2026

NAV Historical Prices

Date Net Asset Value

Portfolio

Portfolio

Holding Assets
Core Fixed Income Fund 46.2%
Fundamental Equity Fund 9.5%
High Yield Fund 8.9%
Dividend Growth Fund 8.1%
Growth Leaders Fund 5.4%
Affiliated Fund 5.3%
International Equity Fund 4.6%
International Value Fund 3.7%
Emerging Markets Bond Fund 3.5%
Lord Abbett Private Credit Fund 2.3%
Ultra Short Bond Fund 2.3%
Holding Assets
LA Pvt Cred- BDC2.3%
S&P500 EMINI FUT Mar261.0%

Equity Sector Allocation as of 12/31/2025

Rating Assets
Financials
Information Technology
Industrials
Health Care
Consumer Discretionary
Telecommunication Services
Consumer Staples
Energy
Materials
Utilities
Real Estate
Unclassified

Dividends & Cap Gains

Dividends & Cap Gains

Dividend Payments

For
YTD Dividends Paidas of 02/06/2026
$0.03310
Dividend Frequency
Monthly
Record Date Ex-Dividend Date Reinvest & Payable Date Dividend Reinvest Price
01/29/2026 01/30/2026 01/30/2026 $0.03310 $17.47

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
02/26/2026 02/27/2026 02/27/2026
03/30/2026 03/31/2026 03/31/2026
04/29/2026 04/30/2026 04/30/2026
05/28/2026 05/29/2026 05/29/2026
06/29/2026 06/30/2026 06/30/2026
07/30/2026 07/31/2026 07/31/2026
08/27/2026 08/28/2026 08/28/2026
09/29/2026 09/30/2026 09/30/2026
10/29/2026 10/30/2026 10/30/2026
11/24/2026 11/25/2026 11/25/2026
12/30/2026 12/31/2026 12/31/2026

Capital Gains Distributions

For
Record Date Reinvest & Payable Date Long-term Short-term * Total Reinvest Price
12/21/2015 12/22/2015 $0.3429 $0.0172 $0.3601 $13.54

Fees & Expenses

Fees & Expenses

Sales Charge Schedule as of 02/06/2026

  Sales Charge Dealer's Concession Prices at Breakpoint
Less than $100,000 2.25% 2.00% $17.98
$100,000 to $249,999 1.75% 1.50% $17.89
$250,000 to $499,999 1.25% 1.00% $17.80
Greater than $500,000 0.00% 1.00% $17.58

Expense Ratioas of 01/31/2026

Fund Gross Expense Ratio 1.19%
Fund Net Expense Ratio 1.19%
Adjusted Expense Ratio 1.02%

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
2025 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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