Daily NAVs/Distribution

To view the 90-day NAV history for a particular mutual fund, please click on Prev NAV for the mutual fund you are interested in. To view the Distribution history for a particular mutual fund, please click on the Last Distribution for the mutual fund you are interested in.

Fund Data as of 4/26/2024
Fund Name Ticker Share Class NAV Prev NAV % Change Last Distribution Prospectus
Bond FundLSBNXClass N$11.22$11.24-0.18%down$0.0517PDF
Bond FundLSBDXClass I$11.24$11.26-0.18%down$0.0512PDF
Bond FundLSBRXClass R$11.17$11.18-0.09%down$0.0489PDF
Bond FundLBFAXClass Admin$11.13$11.14-0.09%down$0.0466PDF
Core Plus Bond FundNERNXClass N$11.20$11.200.00%$0.0391PDF
Core Plus Bond FundNERYXClass Y$11.19$11.190.00%$0.0383PDF
Fixed Income FundLSFIXClass I$11.30$11.270.27%up$0.5079PDF
Global Allocation FundLGMNXClass N$24.42$24.200.91%up$0.9611PDF
Global Allocation FundLSWWXClass Y$24.40$24.180.91%up$0.9402PDF
Global Bond FundLSGNXClass N$13.98$13.970.07%up$0.0000PDF
Global Bond FundLSGBXClass I$13.92$13.920.00%$0.0000PDF
Global Bond FundLSGLXClass R$13.59$13.590.00%$0.0000PDF
Global Growth FundLSNGXClass N$17.43$17.171.51%up$0.0000PDF
Global Growth FundLSGGXClass Y$17.39$17.141.46%up$0.0000PDF
Growth FundLGRNXClass N$25.01$24.611.63%up$1.3993PDF
Growth FundLSGRXClass Y$24.94$24.551.59%up$1.3993PDF
High Income FundLSHNXClass N$3.45$3.440.29%up$0.0222PDF
High Income FundNEHYXClass Y$3.44$3.430.29%up$0.0221PDF
High Income Opportunities FundLSIOXClass I$8.56$8.540.23%up$0.0555PDF
Inflation Protected Securities FundLIPNXClass N$9.45$9.420.32%up$0.0262PDF
Inflation Protected Securities FundLSGSXClass I$9.44$9.410.32%up$0.0251PDF
Inflation Protected Securities FundLIPRXClass R$9.41$9.390.21%up$0.0196PDF
Institutional High Income FundLSHIXClass I$5.46$5.450.18%up$0.3422PDF
Intermediate Duration Bond FundLSDNXClass N$9.26$9.250.11%up$0.0330PDF
Intermediate Duration Bond FundLSDIXClass Y$9.27$9.260.11%up$0.0326PDF
International Growth FundLIGYXClass Y$9.45$9.360.96%up$0.0020PDF
Investment Grade Bond FundLGBNXClass N$9.56$9.540.21%up$0.0377PDF
Investment Grade Bond FundLSIIXClass Y$9.57$9.550.21%up$0.0373PDF
Investment Grade Fixed Income FundLSIGXClass I$10.04$10.05-0.10%$0.0391PDF
Loomis Sayles Short Duration Income ETF FundLSSTETF$23.74$23.730.04%up$0.0839PDF
Ltd Term Govt and Agency FundLGANXClass N$10.66$10.650.09%up$0.0380PDF
Ltd Term Govt and Agency FundNELYXClass Y$10.66$10.650.09%up$0.0375PDF
Natixis Loomis Sayles Focused Growth ETFLSGRETF$30.50$29.902.04%up$0.0000PDF
Securitized Asset FundLSSAXClass I$7.40$7.380.27%up$0.0259PDF
Senior Floating Rate and Fixed Income FundLSFNXClass N$8.24$8.240.00%down$0.0650PDF
Senior Floating Rate and Fixed Income FundLSFYXClass Y$8.26$8.260.00%down$0.0647PDF
Small Cap Growth FundLSSNXClass N$27.27$27.040.85%up$0.6132PDF
Small Cap Growth FundLSSIXClass I$26.78$26.560.83%up$0.6132PDF
Small Cap Growth FundLCGRXClass R$23.11$22.910.87%up$0.6132PDF
Small Cap Value FundLSCNXClass N$23.43$23.270.69%up$4.5382PDF
Small Cap Value FundLSSCXClass I$23.42$23.260.69%up$4.5240PDF
Small Cap Value FundLSCRXClass R$22.58$22.430.67%up$4.4722PDF
Small Cap Value FundLSVAXClass Admin$20.26$20.120.70%up$4.4722PDF
Small/Mid Cap Growth FundLSMNXClass N$12.20$12.150.41%up$0.0000PDF
Small/Mid Cap Growth FundLSMIXClass I$12.19$12.140.41%up$0.0000PDF
Strategic Alpha FundLASNXClass N$9.23$9.230.00%down$0.1232PDF
Strategic Alpha FundLASYXClass Y$9.23$9.220.11%up$0.1221PDF
Strategic Income FundNEZNXClass N$11.47$11.49-0.17%$0.0569PDF
Strategic Income FundNEZYXClass Y$11.46$11.49-0.26%$0.0564PDF