LEDCX | Emerging Markets Corporate Debt Fund Class C | Lord Abbett
Image alt tag

Error!

There was a problem contacting the server. Please try after sometime.

Sorry, we are unable to process your request.

Error!

We're sorry, but the Insights and Intelligence Tool is temporarily unavailable

If this problem persists, or if you need immediate assistance, please contact Customer Service at 1-888-522-2388.

Error!

We're sorry, but the Literature Center checkout function is temporarily unavailable.

If this problem persists, or if you need immediate assistance, please contact Customer Service at 1-888-522-2388.

Tracked Funds

You have 0 funds on your mutual fund watch list.

Begin by selecting funds to create a personalized watch list.

(as of 12/05/2015)

Pending Orders

You have 0 items in your cart.

Subscribe and order forms, fact sheets, presentations, and other documents that can help advisers grow their business.

Reset Your Password

Financial Professionals*

Your password must be a minimum of characters.

Confirmation Message

Your LordAbbett.com password was successully updated. This page will be refreshed after 3 seconds.

OK

 

Emerging Markets Corporate Debt Fund

Summary

Summary

What is the Emerging Markets Corporate Debt Fund?

The Fund seeks to deliver current income and long term growth of capital by investing primarily in emerging markets corporate debt securities.

DOLLAR DENOMINATED

Provides an allocation to global investment opportunities without the currency volatility of local debt.

HISTORICALLY HIGHER YIELDS

EM Corporate Debt has provided higher yields than comparably rated U.S. corporate bonds.

STRONG PERFORMANCE

Has provided solid performance, with low expenses, relative to peers.

Yield

Dividend Yield 1 as of 10/28/2020  

  Subsidized3 Un-Subsidized4
w/o sales charge 3.33% 2.76%

30-Day Standardized Yield 2 as of 09/30/2020  

2.55%

Fund Basicsas of 09/30/2020

Total Net Assets
$57.75 M
Inception Date
12/31/2013
Dividend Frequency
Monthly
Fund Gross Expense Ratio
2.25%
Fund Net Expense Ratio
1.68%
Number of Holdings
212
Minimum Initial Investment
$1,000+

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 12/31/2013
w/o sales charge -0.24% 2.16% 2.69% 4.72% - 4.50%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds -1.48% 1.39% 2.04% 5.37% - -
J.P. Morgan CEMBI Broad Diversified Index 2.58% 4.85% 4.73% 6.29% - 5.51%
w/ sales charge -1.21% 2.16% 2.69% 4.72% - 4.50%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 12/31/2013
w/o sales charge -0.24% 2.16% 2.69% 4.72% - 4.50%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds -1.48% 1.39% 2.04% 5.37% - -
J.P. Morgan CEMBI Broad Diversified Index 2.58% 4.85% 4.73% 6.29% - 5.51%
w/ sales charge -1.21% 2.16% 2.69% 4.72% - 4.50%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

RELATED CONTENT

Emerging-Market Credit Gets a Boost
August 5, 2019

Easier financial conditions have been almost always positive for emerging-market debt, especially when interest-rate differentials are growing larger between advanced and emerging markets.

Country Assets
China
Brazil
United Arab Emirates
Turkey
Mexico
India
Colombia
Russia
Chile
Peru
Saudi Arabia
Israel
Panama
Ukraine
South Korea
United States
Argentina
Thailand
Qatar
Hong Kong
Macau
South Africa
Indonesia
Kuwait
Zambia
Vietnam
Kazakhstan
Paraguay
Singapore
Nigeria
Spain
Morocco
Netherlands
Luxembourg
United Kingdom
Mongolia
Bahrain
Tanzania
Region Assets
Asia
Latin America
Europe
Middle East/Africa
North America

Credit Quality Distribution as of 09/30/2020 View Portfolio

Rating Assets
AA
A
BBB
<BBB
Not Rated

INVESTMENT TEAM

John J. Morton
John J. Morton, CFA

Portfolio Manager

35 Years of Industry Experience

Steven F. Rocco
Steven F. Rocco, CFA

Partner & Co-Director of Taxable Fixed Income

19 Years of Industry Experience

Mila Skulkina
Mila Skulkina, CFA

Portfolio Manager

19 Years of Industry Experience

Supported By 63 Investment Professionals with 16 Years Avg. Industry Experience

Contact a Representative

To contact your representative, enter your zip code and select your channel below.

Performance

Performance

Dividend Yield 1 as of 10/28/2020  

  Subsidized3 Un-Subsidized4
w/o sales charge 3.33% 2.76%

30-Day Standardized Yield 2 as of 09/30/2020  

  Subsidized5 Un-Subsidized6
w/o sales charge 2.55% 2.55%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 12/31/2013
w/o sales charge -0.24% 2.16% 2.69% 4.72% - 4.50%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds -1.48% 1.39% 2.04% 5.37% - -
J.P. Morgan CEMBI Broad Diversified Index 2.58% 4.85% 4.73% 6.29% - 5.51%
w/ sales charge -1.21% 2.16% 2.69% 4.72% - 4.50%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

YTD 1-YR 3-YR 5-YR 10-YR Since Inception 12/31/2013
w/o sales charge -0.24% 2.16% 2.69% 4.72% - 4.50%
Lipper Category Avg. Emerging Mrkts Hard Currency Debt Funds -1.48% 1.39% 2.04% 5.37% - -
J.P. Morgan CEMBI Broad Diversified Index 2.58% 4.85% 4.73% 6.29% - 5.51%
w/ sales charge -1.21% 2.16% 2.69% 4.72% - 4.50%

Fund Expense Ratio :

Gross 2.25%

Net 1.68%

Year Fund Returns J.P. Morgan CEMBI Broad Diversified Index
2019 12.85% 13.09%
2018 -4.28% -1.65%
2017 7.85% 7.96%
2016 8.23% 9.65%
2015 1.04% 1.30%
2014 5.90% 4.96%
2013 0.01% -0.60%
Year Q1 Q2 Q3 Q4 Yearly Returns
2020 -13.12% 11.84% 2.67% - 0.47%
2019 5.25% 3.43% 1.23% 2.40% 12.85%
2018 -1.65% -3.19% 1.41% -0.87% -4.28%
2017 3.18% 1.58% 2.41% 0.49% 7.85%
2016 4.20% 3.50% 2.57% -2.15% 8.23%
2015 1.96% 0.78% -1.75% 0.09% 1.04%
2014 2.54% 4.56% 0.10% -1.32% 5.90%
2013 - - - - 0.01%

NAV Historical Prices

Date Net Asset Value

Portfolio

Portfolio

Rating Assets
Investment Grade Corporate
High Yield Corporate
Sovereign
U.S. Government Related
Other
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 09/30/2020

Rating Assets
AA
A
BBB
<BBB
Not Rated

Portfolio Positioningas of 06/30/2020

  • Within China, government support is focused on alleviating financial pressure on companies via targeted tax cuts and preferential lending. Additionally, the government is seeking to incentivize personal consumption by increasing subsidies and relaxing certain purchase restrictions.
  • We believe the coronavirus outbreak’s implication to emerging markets countries in Asia depends on their respective exposures to natural resources exports, tourism, and the local COVID-19 situations.
  • EM economies felt the full weight of a risk sell-off when the COVID-19 pandemic began in earnest. EM currencies depreciated sharply; however, inflation rates in Emerging Markets have generally remained low and within the target range of central banks. We expect inflation rates to fall in reflection of the contractionary economic effects of the pandemic and lower commodity prices thus giving central banks rooms to ease.

Portfolio Details as of 09/30/2020

Total Net Assets
$57.75 M
Number of Issues
212
Average Coupon
5.31%
Average Life
8.95 Years
Average Maturity
8.81 Years
Average Modified Duration
5.08 Years

Dividends & Cap Gains

Dividends & Cap Gains

Dividend Payments

For
YTD Dividends Paidas of 10/28/2020
$0.389
Dividend Frequency
Monthly (Daily Accrual)
Record Date Ex-Dividend Date Reinvest & Payable Date Dividend Reinvest Price
Daily Daily 09/30/2020 $0.04206 $15.10
Daily Daily 08/31/2020 $0.04119 $15.29
Daily Daily 07/31/2020 $0.04361 $15.18
Daily Daily 06/30/2020 $0.04353 $14.83
Daily Daily 05/31/2020 $0.04138 $14.48
Daily Daily 04/30/2020 $0.04521 $13.93
Daily Daily 03/31/2020 $0.04603 $13.38
Daily Daily 02/29/2020 $0.04289 $15.49
Daily Daily 01/31/2020 $0.04357 $15.65

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 10/31/2020
Daily Daily 11/30/2020
Daily Daily 12/31/2020

Capital Gains Distributions

For
Record Date Reinvest & Payable Date Long-term Short-term * Total Reinvest Price
07/30/2018 07/31/2018 - $0.0292 $0.0292 $14.77

Upcoming Capital Gain Distribution

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
12/17/2020 12/18/2020

Fees & Expenses

Fees & Expenses

Expense Ratioas of 09/30/2020

Fund Gross Expense Ratio Fund Net Expense Ratio
2.25% 1.68%

Fund Documents

Fund Documents

Download fund documents & literature, create email subscriptions, and place direct mail order

0Documents selected
Order
Summary Prospectus
Publish Date:11/03/2015
n/a
Statutory Prospectus
Publish Date:11/03/2015
n/a
Prospectus (XBRL)
Publish Date:11/03/2015
SAI
Publish Date:11/03/2015
Annual Report
Publish Date:11/03/2015
Semi-Annual Report
Publish Date:11/03/2015
Fact Sheet
Publish Date:11/03/2015
Commentary
Publish Date:11/03/2015
Publish Date:11/03/2015

To order literature visit full website

You may add to your cart by selecting quantities in each row below.

No rows selected. Please Go back and select at least one fund document

 
Quantity
Quantity
Remove
Remove

Class C - Class C shares are subject to ongoing 12b-1 service and distribution fees as well as a maximum CDSC of 1 percent if you redeem your shares before the first anniversary of your original purchase.

Class C shares are only offered to certain eligible investors.  For additional information, see the Fund’s current prospectus.

Class C - The inception date for Class C Shares is August 31, 2020. The performance quotations for Class C are based on the following methods of calculation: (a) for periods prior to August 31, 2020, a restated figure is used based on the Fund's Class I performance, adjusted to reflect the fees and expenses of Class C Shares ; and (b) for periods after August 31, 2020, actual Class C performance is used reflecting all charges and fees applicable to Class C shares.

Class C - Class C shares are subject to ongoing 12b-1 service and distribution fees as well as a maximum CDSC of 1 percent if you redeem your shares before the first anniversary of your original purchase.

Class F - The inception date for Class F Shares is August 31, 2020. The performance quotations for Class F are based on the following methods of calculation: (a) for periods prior to August 31, 2020, a restated figure is used based on the Fund's Class I performance, adjusted to reflect the fees and expenses of Class F Shares ; and (b) for periods after August 31, 2020, actual Class F performance is used reflecting all charges and fees applicable to Class F shares.

Class F shares are available only to eligible fee-based advisory programs and certain registered investment advisers. For additional information, see the Fund’s current prospectus.

Select funds to run a Morningstar Hypothetical Report.

    Please confirm your literature shipping address

    Please review the address information below and make any necessary changes.

    All literature orders will be shipped to the address that you enter below. This information can be edited at any time.

    Current Literature Shipping Address

    * Required field