Daily NAVs/Distribution

Limited Term Government and Agency Fund (Class Y)

Pay Date Income Short Term Long Term Total Reinv.NAV
03/31/202503/31/2025$0.0339nonenone$0.0339$10.8800
01/31/202501/31/2025$0.0347nonenone$0.0347$10.8000
12/31/202412/31/2024$0.0372nonenone$0.0372$10.7800
12/17/202412/31/2024$0.0031nonenone$0.0031$10.7900
11/29/202411/29/2024$0.0346nonenone$0.0346$10.8200
10/31/202410/31/2024$0.0360nonenone$0.0360$10.8000
09/30/202409/30/2024$0.0360nonenone$0.0360$10.9300
08/30/202408/30/2024$0.0373nonenone$0.0373$10.8800
07/31/202407/31/2024$0.0375nonenone$0.0375$10.8300
06/28/202406/28/2024$0.0367nonenone$0.0367$10.7400
05/31/202405/31/2024$0.0377nonenone$0.0377$10.7000
04/30/202404/30/2024$0.0366nonenone$0.0366$10.6500
Limited Term Government and Agency Fund declares dividends daily and pays them monthly.