Daily NAVs/Distribution

Inflation Protected Securities Fund (Class R)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
03/25/202503/26/2025$0.0763nonenone$0.0763$9.6300
12/20/202412/23/2024$0.0528nonenone$0.0528$9.4300
09/26/202409/27/2024$0.0522nonenone$0.0522$9.7800
06/26/202406/27/2024$0.1846nonenone$0.1846$9.4600