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 4/15/2024
Fund Name Ticker Share Class NAV Prev NAV % Change Last Distribution Prospectus
Bond FundLSBNXClass N$11.28$11.37-0.79%down$0.0533PDF
Bond FundLSBDXClass I$11.30$11.38-0.70%down$0.0529PDF
Bond FundLSBRXClass R$11.23$11.31-0.71%down$0.0506PDF
Bond FundLBFAXClass Admin$11.19$11.27-0.71%down$0.0483PDF
Core Plus Bond FundNERNXClass N$11.25$11.34-0.79%down$0.0393PDF
Core Plus Bond FundNERYXClass Y$11.24$11.33-0.79%down$0.0384PDF
Fixed Income FundLSFIXClass I$11.29$11.37-0.70%down$0.5079PDF
Global Allocation FundLGMNXClass N$24.18$24.39-0.86%down$0.9611PDF
Global Allocation FundLSWWXClass Y$24.16$24.37-0.86%down$0.9402PDF
Global Bond FundLSGNXClass N$14.02$14.12-0.71%down$0.0000PDF
Global Bond FundLSGBXClass I$13.97$14.06-0.64%down$0.0000PDF
Global Bond FundLSGLXClass R$13.64$13.73-0.66%down$0.0000PDF
Global Growth FundLSNGXClass N$17.59$17.86-1.51%down$0.0000PDF
Global Growth FundLSGGXClass Y$17.55$17.82-1.52%down$0.0000PDF
Growth FundLGRNXClass N$25.12$25.62-1.95%down$1.3993PDF
Growth FundLSGRXClass Y$25.05$25.55-1.96%down$1.3993PDF
High Income FundLSHNXClass N$3.47$3.48-0.29%down$0.0227PDF
High Income FundNEHYXClass Y$3.46$3.47-0.29%down$0.0226PDF
High Income Opportunities FundLSIOXClass I$8.54$8.57-0.35%down$0.0555PDF
Inflation Protected Securities FundLIPNXClass N$9.45$9.48-0.32%down$0.0262PDF
Inflation Protected Securities FundLSGSXClass I$9.44$9.47-0.32%$0.0251PDF
Inflation Protected Securities FundLIPRXClass R$9.42$9.45-0.32%$0.0196PDF
Institutional High Income FundLSHIXClass I$5.45$5.47-0.37%$0.3422PDF
Intermediate Duration Bond FundLSDNXClass N$9.30$9.32-0.21%$0.0336PDF
Intermediate Duration Bond FundLSDIXClass Y$9.30$9.33-0.32%$0.0333PDF
International Growth FundLIGYXClass Y$9.39$9.48-0.95%$0.0020PDF
Investment Grade Bond FundLGBNXClass N$9.61$9.67-0.62%$0.0398PDF
Investment Grade Bond FundLSIIXClass Y$9.61$9.68-0.72%$0.0394PDF
Investment Grade Fixed Income FundLSIGXClass I$10.09$10.15-0.59%$0.0415PDF
Loomis Sayles Short Duration Income ETF FundLSSTETF$23.81$23.82-0.04%$0.1038PDF
Ltd Term Govt and Agency FundLGANXClass N$10.67$10.68-0.09%$0.0380PDF
Ltd Term Govt and Agency FundNELYXClass Y$10.67$10.68-0.09%$0.0375PDF
Natixis Loomis Sayles Focused Growth ETFLSGRETF$30.77$31.46-2.19%$0.0000PDF
Securitized Asset FundLSSAXClass I$7.40$7.45-0.67%$0.0259PDF
Senior Floating Rate and Fixed Income FundLSFNXClass N$8.25$8.250.00%down$0.0650PDF
Senior Floating Rate and Fixed Income FundLSFYXClass Y$8.27$8.270.00%down$0.0647PDF
Small Cap Growth FundLSSNXClass N$26.92$27.23-1.14%$0.6132PDF
Small Cap Growth FundLSSIXClass I$26.44$26.74-1.12%$0.6132PDF
Small Cap Growth FundLCGRXClass R$22.81$23.07-1.13%$0.6132PDF
Small Cap Value FundLSCNXClass N$23.03$23.22-0.82%$4.5382PDF
Small Cap Value FundLSSCXClass I$23.02$23.21-0.82%$4.5240PDF
Small Cap Value FundLSCRXClass R$22.20$22.38-0.80%$4.4722PDF
Small Cap Value FundLSVAXClass Admin$19.92$20.08-0.80%$4.4722PDF
Small/Mid Cap Growth FundLSMNXClass N$12.10$12.25-1.22%$0.0000PDF
Small/Mid Cap Growth FundLSMIXClass I$12.09$12.24-1.23%$0.0000PDF
Strategic Alpha FundLASNXClass N$9.23$9.25-0.22%$0.1232PDF
Strategic Alpha FundLASYXClass Y$9.22$9.24-0.22%$0.1221PDF
Strategic Income FundNEZNXClass N$11.53$11.62-0.77%$0.0657PDF
Strategic Income FundNEZYXClass Y$11.53$11.62-0.77%$0.0652PDF