Daily NAVs/Distribution

High Income Fund (Class Y)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
11/25/202411/26/2024$0.0206nonenone$0.0206$3.6500
10/24/202410/25/2024$0.0202nonenone$0.0202$3.6100
09/23/202409/24/2024$0.0193nonenone$0.0193$3.6200
08/23/202408/26/2024$0.0188nonenone$0.0188$3.5600
07/25/202407/26/2024$0.0208nonenone$0.0208$3.5100
06/24/202406/25/2024$0.0205nonenone$0.0205$3.4800
05/24/202405/28/2024$0.0201nonenone$0.0201$3.4700
04/25/202404/26/2024$0.0221nonenone$0.0221$3.4300
03/26/202403/27/2024$0.0226nonenone$0.0226$3.5200
02/26/202402/27/2024$0.0203nonenone$0.0203$3.5200
01/29/202401/30/2024$0.0197nonenone$0.0197$3.5100
12/20/202312/21/2023$0.0568nonenone$0.0568$3.5200