Daily NAVs/Distribution

Investment Grade Fixed Income Fund (Class I)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
03/27/202503/28/2025$0.0404nonenone$0.0404$10.3200
02/27/202502/28/2025$0.0385nonenone$0.0385$10.4200
01/29/202501/30/2025$0.0373nonenone$0.0373$10.2800
12/16/202412/17/2024$0.0492nonenone$0.0492$10.3400
11/26/202411/27/2024$0.0399nonenone$0.0399$10.4000
10/25/202410/28/2024$0.0386nonenone$0.0386$10.4100
09/26/202409/27/2024$0.0399nonenone$0.0399$10.6800
08/26/202408/27/2024$0.0398nonenone$0.0398$10.6100
07/26/202407/29/2024$0.0381nonenone$0.0381$10.3400
06/27/202406/28/2024$0.0394nonenone$0.0394$10.2700
05/28/202405/29/2024$0.0424nonenone$0.0424$10.1600
04/26/202404/29/2024$0.0391nonenone$0.0391$10.0400
03/27/202403/28/2024$0.0415nonenone$0.0415$10.3100