
Mutual Funds
Loomis Sayles offers a comprehensive suite of mutual funds designed to help investors pursue their financial goals.
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Clear All21 Mutual Funds
Monthly performance as of 11/30/2025
|
Product Name Ticker • Share Class
|
Asset Class | NAV* | 1Y | 3Y | 5Y | 10Y | Inception | Inception Date |
|---|---|---|---|---|---|---|---|---|
| Bond Fund LSBRX • Class R | Fixed | 12.15 | 7.33% | 7.39% | 2.50% | 3.42% | 6.09% | 12/31/1996 |
| Bond Fund LSBNX • Class N | Fixed | 12.22 | 7.70% | 7.74% | 2.82% | 3.74% | 3.19% | 2/1/2013 |
| Bond Fund LSBDX • Class I | Fixed | 12.24 | 7.63% | 7.67% | 2.76% | 3.68% | 7.63% | 5/16/1991 |
| Bond Fund LBFAX • Class A | Fixed | 12.11 | 7.18% | 7.16% | 2.27% | 3.17% | 5.58% | 1/2/1998 |
| Core Plus Bond Fund NERYX • Class Y | Fixed | 11.80 | 6.23% | 4.83% | 0.04% | 2.88% | 5.45% | 12/30/1994 |
| Core Plus Bond Fund NERNX • Class N | Fixed | 11.81 | 6.33% | 4.95% | 0.14% | 2.97% | 2.59% | 2/1/2013 |
| Fixed Income Fund LSFIX • Class I | Fixed | 12.48 | 7.77% | 7.36% | 2.73% | 4.33% | 7.53% | 1/17/1995 |
| Global Allocation Fund LSWWX • Class Y | Balanced | 27.43 | 8.25% | 13.80% | 6.93% | 9.03% | 9.35% | 5/1/1996 |
| Global Allocation Fund LGMNX • Class N | Balanced | 27.47 | 8.34% | 13.90% | 7.03% | – | 9.59% | 2/1/2017 |
| Global Bond Fund LSGLX • Class R | Fixed | 15.05 | 5.24% | 3.46% | -2.42% | 1.32% | 3.91% | 12/31/1996 |
| Global Bond Fund LSGNX • Class N | Fixed | 15.54 | 5.50% | 3.74% | -2.14% | 1.62% | 0.75% | 2/1/2013 |
| Global Bond Fund LSGBX • Class I | Fixed | 15.47 | 5.53% | 3.71% | -2.18% | 1.57% | 5.18% | 5/10/1991 |
| Global Growth Fund LSGGX • Class Y | Equity | 24.51 | 15.50% | 23.03% | 9.76% | – | 13.96% | 3/31/2016 |
| Global Growth Fund LSNGX • Class N | Equity | 24.59 | 15.61% | 23.10% | 9.82% | – | 13.85% | 3/31/2017 |
| Growth Fund LSGRX • Class Y | Equity | 33.50 | 14.08% | 29.09% | 15.30% | 16.60% | 10.38% | 5/16/1991 |
| Growth Fund LGRNX • Class N | Equity | 33.65 | 14.21% | 29.22% | 15.40% | 16.70% | 16.75% | 2/1/2013 |
| High Income Fund NEHYX • Class Y | Fixed | 3.69 | 8.06% | 9.02% | 3.52% | 5.08% | 5.67% | 2/29/2008 |
| High Income Fund LSHNX • Class N | Fixed | 3.70 | 8.09% | 9.05% | 3.56% | – | 4.67% | 11/30/2016 |
| Inflation Protected Securities Fund LIPRX • Class R | Fixed | 9.77 | 5.34% | 3.59% | 0.82% | 2.81% | 2.71% | 5/28/2010 |
| Inflation Protected Securities Fund LIPNX • Class N | Fixed | 9.81 | 5.74% | 3.92% | 1.13% | – | 3.06% | 2/1/2017 |
| Inflation Protected Securities Fund LSGSX • Class I | Fixed | 9.80 | 5.69% | 3.87% | 1.08% | 3.07% | 5.31% | 5/20/1991 |
| Institutional High Income Fund LSHIX • Class I | Fixed | 6.02 | 7.67% | 9.16% | 4.92% | 5.54% | 7.10% | 6/5/1996 |
| Intermediate Duration Bond Fund LSDIX • Class Y | Fixed | 9.69 | 6.17% | 5.46% | 1.20% | 2.61% | 4.20% | 1/28/1998 |
| Intermediate Duration Bond Fund LSDNX • Class N | Fixed | 9.67 | 6.23% | 5.48% | 1.21% | – | 2.94% | 2/1/2019 |
| International Growth Fund LIGYX • Class Y | Equity | 11.51 | 6.35% | 13.64% | – | – | 3.94% | 12/15/2020 |
| International Growth Fund LIGNX • Class N | Equity | 11.52 | 6.38% | 13.67% | – | – | 4.00% | 12/15/2020 |
| Investment Grade Bond Fund LSIIX • Class Y | Fixed | 9.97 | 5.47% | 5.71% | 1.27% | 3.63% | 6.12% | 12/31/1996 |
| Investment Grade Bond Fund LGBNX • Class N | Fixed | 9.96 | 5.53% | 5.76% | 1.32% | 3.69% | 3.03% | 2/1/2013 |
| Investment Grade Fixed Income Fund LSIGX • Class I | Fixed | 10.53 | 5.79% | 6.13% | 1.41% | 3.36% | 6.91% | 7/1/1994 |
| Limited Term Government and Agency Fund NELYX • Class Y | Fixed | 10.99 | 5.44% | 4.92% | 1.81% | 1.89% | 3.60% | 3/31/1994 |
| Limited Term Government and Agency Fund LGANX • Class N | Fixed | 10.99 | 5.50% | 4.97% | 1.87% | – | 2.13% | 2/1/2017 |
| Senior Floating Rate and Fixed Income Fund LSFYX • Class Y | Fixed | 8.04 | 5.18% | 8.53% | 5.34% | 4.68% | 5.08% | 9/30/2011 |
| Senior Floating Rate and Fixed Income Fund LSFNX • Class N | Fixed | 8.03 | 5.36% | 8.58% | 5.39% | – | 4.17% | 3/31/2017 |
| Small Cap Growth Fund LCGRX • Class R | Equity | 26.13 | -2.62% | 8.66% | 4.29% | 9.37% | 7.36% | 12/31/1996 |
| Small Cap Growth Fund LSSNX • Class N | Equity | 31.22 | -2.26% | 9.06% | 4.66% | 9.77% | 10.84% | 2/1/2013 |
| Small Cap Growth Fund LSSIX • Class I | Equity | 30.58 | -2.37% | 8.94% | 4.54% | 9.64% | 7.63% | 12/31/1996 |
| Small Cap Value Fund LSCRX • Class R | Equity | 22.42 | -3.67% | 9.43% | 10.93% | 8.08% | 9.08% | 12/31/1996 |
| Small Cap Value Fund LSCNX • Class N | Equity | 23.38 | -3.41% | 9.74% | 11.26% | 8.41% | 9.14% | 2/1/2013 |
| Small Cap Value Fund LSSCX • Class I | Equity | 23.37 | -3.43% | 9.69% | 11.21% | 8.35% | 11.15% | 5/13/1991 |
| Small Cap Value Fund LSVAX • Class A | Equity | 19.78 | -3.94% | 9.14% | 10.65% | 7.81% | 8.26% | 1/2/1998 |
| Small/Mid Cap Growth Fund LSMNX • Class N | Equity | 14.67 | 0.34% | 8.30% | 4.16% | – | 8.77% | 10/1/2019 |
| Small/Mid Cap Growth Fund LSMIX • Class I | Equity | 14.65 | 0.27% | 8.28% | 4.14% | 9.95% | 9.12% | 6/30/2015 |
| Strategic Alpha Fund LASYX • Class Y | Fixed | 9.95 | 8.06% | 8.16% | 3.61% | 4.03% | 3.47% | 12/15/2010 |
| Strategic Alpha Fund LASNX • Class N | Fixed | 9.96 | 8.10% | 8.24% | 3.68% | – | 3.91% | 5/1/2017 |
| Strategic Income Fund NEZYX • Class Y | Fixed | 12.60 | 8.22% | 8.33% | 3.30% | 3.80% | 6.71% | 12/1/1999 |
| Strategic Income Fund NEZNX • Class N | Fixed | 12.61 | 8.35% | 8.41% | 3.37% | 3.87% | 3.70% | 2/1/2013 |
|
Product Name
Ticker • Share Class
|
Asset Class | NAV* | Prev NAV | % Change | Last Distribution | As of Date |
|---|---|---|---|---|---|---|
|
Bond Fund
LSBRX •
Class R
|
Fixed | $12.25 | $12.23 | 0.16% | $0.0493 | 12/26/2025 |
|
Bond Fund
LSBNX •
Class N
|
Fixed | $12.16 | $12.15 | 0.08% | $0.0463 | 12/26/2025 |
|
Bond Fund
LSBDX •
Class I
|
Fixed | $12.12 | $12.10 | 0.17% | $0.0433 | 12/26/2025 |
|
Bond Fund
LBFAX •
Class A
|
Fixed | $12.23 | $12.21 | 0.16% | $0.0499 | 12/26/2025 |
|
Core Plus Bond Fund
NERYX •
Class Y
|
Fixed | $11.70 | $11.70 | 0.00% | $0.0758 | 12/26/2025 |
|
Core Plus Bond Fund
NERNX •
Class N
|
Fixed | $11.71 | $11.71 | 0.00% | $0.0768 | 12/26/2025 |
|
Fixed Income Fund
LSFIX •
Class I
|
Fixed | $11.96 | $11.95 | 0.08% | $0.5622 | 12/26/2025 |
|
Global Allocation Fund
LSWWX •
Class Y
|
Balanced | $25.91 | $25.87 | 0.15% | $2.0085 | 12/26/2025 |
|
Global Allocation Fund
LGMNX •
Class N
|
Balanced | $25.93 | $25.88 | 0.19% | $2.0314 | 12/26/2025 |
|
Global Bond Fund
LSGLX •
Class R
|
Fixed | $15.50 | $15.49 | 0.06% | $0.0167 | 12/26/2025 |
|
Global Bond Fund
LSGNX •
Class N
|
Fixed | $15.09 | $15.08 | 0.07% | $0.0000 | 12/26/2025 |
|
Global Bond Fund
LSGBX •
Class I
|
Fixed | $15.56 | $15.56 | 0.00% | $0.0243 | 12/26/2025 |
|
Global Growth Fund
LSGGX •
Class Y
|
Equity | $24.86 | $24.88 | -0.08% | $0.0742 | 12/26/2025 |
|
Global Growth Fund
LSNGX •
Class N
|
Equity | $24.94 | $24.96 | -0.08% | $0.0742 | 12/26/2025 |
|
Growth Fund
LSGRX •
Class Y
|
Equity | $33.77 | $33.78 | -0.03% | $0.7370 | 12/26/2025 |
|
Growth Fund
LGRNX •
Class N
|
Equity | $33.92 | $33.94 | -0.06% | $0.7370 | 12/26/2025 |
|
High Income Fund
NEHYX •
Class Y
|
Fixed | $3.68 | $3.67 | 0.27% | $0.0301 | 12/26/2025 |
|
High Income Fund
LSHNX •
Class N
|
Fixed | $3.69 | $3.69 | 0.00% | $0.0302 | 12/26/2025 |
|
Inflation Protected Securities Fund
LIPRX •
Class R
|
Fixed | $9.65 | $9.65 | 0.00% | $0.1093 | 12/26/2025 |
|
Inflation Protected Securities Fund
LIPNX •
Class N
|
Fixed | $9.63 | $9.63 | 0.00% | $0.1030 | 12/26/2025 |
|
Inflation Protected Securities Fund
LSGSX •
Class I
|
Fixed | $9.66 | $9.66 | 0.00% | $0.1106 | 12/26/2025 |
|
Institutional High Income Fund
LSHIX •
Class I
|
Fixed | $5.72 | $5.71 | 0.18% | $0.3299 | 12/26/2025 |
|
Intermediate Duration Bond Fund
LSDIX •
Class Y
|
Fixed | $9.65 | $9.65 | 0.00% | $0.0439 | 12/26/2025 |
|
Intermediate Duration Bond Fund
LSDNX •
Class N
|
Fixed | $9.64 | $9.63 | 0.10% | $0.0444 | 12/26/2025 |
|
International Growth Fund
LIGYX •
Class Y
|
Equity | $11.73 | $11.72 | 0.09% | $0.1423 | 12/26/2025 |
|
International Growth Fund
LIGNX •
Class N
|
Equity | $11.74 | $11.74 | 0.00% | $0.1423 | 12/26/2025 |
|
Investment Grade Bond Fund
LSIIX •
Class Y
|
Fixed | $9.91 | $9.91 | 0.00% | $0.0475 | 12/26/2025 |
|
Investment Grade Bond Fund
LGBNX •
Class N
|
Fixed | $9.91 | $9.90 | 0.10% | $0.0480 | 12/26/2025 |
|
Investment Grade Fixed Income Fund
LSIGX •
Class I
|
Fixed | $10.47 | $10.47 | 0.00% | $0.0640 | 12/26/2025 |
|
Limited Term Government and Agency Fund
NELYX •
Class Y
|
Fixed | $10.97 | $10.96 | 0.09% | $0.0325 | 12/26/2025 |
|
Limited Term Government and Agency Fund
LGANX •
Class N
|
Fixed | $10.96 | $10.96 | 0.00% | $0.0329 | 12/26/2025 |
|
Senior Floating Rate and Fixed Income Fund
LSFYX •
Class Y
|
Fixed | $8.01 | $8.01 | 0.00% | $0.0481 | 12/26/2025 |
|
Senior Floating Rate and Fixed Income Fund
LSFNX •
Class N
|
Fixed | $7.99 | $7.99 | 0.00% | $0.0484 | 12/26/2025 |
|
Small Cap Growth Fund
LCGRX •
Class R
|
Equity | $30.82 | $30.89 | -0.23% | $1.0571 | 12/26/2025 |
|
Small Cap Growth Fund
LSSNX •
Class N
|
Equity | $26.33 | $26.39 | -0.23% | $1.0571 | 12/26/2025 |
|
Small Cap Growth Fund
LSSIX •
Class I
|
Equity | $31.47 | $31.54 | -0.22% | $1.0571 | 12/26/2025 |
|
Small Cap Value Fund
LSCRX •
Class R
|
Equity | $24.06 | $24.08 | -0.08% | $2.3905 | 12/26/2025 |
|
Small Cap Value Fund
LSCNX •
Class N
|
Equity | $23.08 | $23.09 | -0.04% | $2.3294 | 12/26/2025 |
|
Small Cap Value Fund
LSSCX •
Class I
|
Equity | $20.36 | $20.37 | -0.05% | $2.3231 | 12/26/2025 |
|
Small Cap Value Fund
LSVAX •
Class A
|
Equity | $24.08 | $24.09 | -0.04% | $2.4027 | 12/26/2025 |
|
Small/Mid Cap Growth Fund
LSMNX •
Class N
|
Equity | $14.77 | $14.79 | -0.14% | $0.0000 | 12/26/2025 |
|
Small/Mid Cap Growth Fund
LSMIX •
Class I
|
Equity | $14.79 | $14.80 | -0.07% | $0.0000 | 12/26/2025 |
|
Strategic Alpha Fund
LASYX •
Class Y
|
Fixed | $9.86 | $9.86 | 0.00% | $0.1293 | 12/26/2025 |
|
Strategic Alpha Fund
LASNX •
Class N
|
Fixed | $9.87 | $9.86 | 0.10% | $0.1305 | 12/26/2025 |
|
Strategic Income Fund
NEZYX •
Class Y
|
Fixed | $12.60 | $12.58 | 0.16% | $0.0853 | 12/26/2025 |
|
Strategic Income Fund
NEZNX •
Class N
|
Fixed | $12.60 | $12.58 | 0.16% | $0.0860 | 12/26/2025 |
|
Product Name
Ticker • Share Class
|
Asset Class | Documents |
|---|---|---|
|
Bond Fund
LSBRX • Class R
|
Fixed | |
| Documents | ||
|
Bond Fund
LSBNX • Class N
|
Fixed | |
| Documents | ||
|
Bond Fund
LSBDX • Class I
|
Fixed | |
| Documents | ||
|
Bond Fund
LBFAX • Class A
|
Fixed | |
| Documents | ||
|
Core Plus Bond Fund
NERYX • Class Y
|
Fixed | |
| Documents | ||
|
Core Plus Bond Fund
NERNX • Class N
|
Fixed | |
| Documents | ||
|
Fixed Income Fund
LSFIX • Class I
|
Fixed | |
| Documents | ||
|
Global Allocation Fund
LSWWX • Class Y
|
Balanced | |
| Documents | ||
|
Global Allocation Fund
LGMNX • Class N
|
Balanced | |
| Documents | ||
|
Global Bond Fund
LSGLX • Class R
|
Fixed | |
| Documents | ||
|
Global Bond Fund
LSGNX • Class N
|
Fixed | |
| Documents | ||
|
Global Bond Fund
LSGBX • Class I
|
Fixed | |
| Documents | ||
|
Global Growth Fund
LSGGX • Class Y
|
Equity | |
| Documents | ||
|
Global Growth Fund
LSNGX • Class N
|
Equity | |
| Document | ||
|
Growth Fund
LSGRX • Class Y
|
Equity | |
| Documents | ||
|
Growth Fund
LGRNX • Class N
|
Equity | |
| Document | ||
|
High Income Fund
NEHYX • Class Y
|
Fixed | |
| Documents | ||
|
High Income Fund
LSHNX • Class N
|
Fixed | |
| Documents | ||
|
Inflation Protected Securities Fund
LIPRX • Class R
|
Fixed | |
| Documents | ||
|
Inflation Protected Securities Fund
LIPNX • Class N
|
Fixed | |
| Documents | ||
|
Inflation Protected Securities Fund
LSGSX • Class I
|
Fixed | |
| Documents | ||
|
Institutional High Income Fund
LSHIX • Class I
|
Fixed | |
| Documents | ||
|
Intermediate Duration Bond Fund
LSDIX • Class Y
|
Fixed | |
| Documents | ||
|
Intermediate Duration Bond Fund
LSDNX • Class N
|
Fixed | |
| Documents | ||
|
International Growth Fund
LIGYX • Class Y
|
Equity | |
| Documents | ||
|
International Growth Fund
LIGNX • Class N
|
Equity | |
| Document | ||
|
Investment Grade Bond Fund
LSIIX • Class Y
|
Fixed | |
| Documents | ||
|
Investment Grade Bond Fund
LGBNX • Class N
|
Fixed | |
| Documents | ||
|
Investment Grade Fixed Income Fund
LSIGX • Class I
|
Fixed | |
| Documents | ||
|
Limited Term Government and Agency Fund
NELYX • Class Y
|
Fixed | |
|
Documents
Limited Term Government and Agency Fund Reports
Limited Term Government and Agency Fund Prospectus
Limited Term Government and Agency Fund Attribution
Limited Term Government and Agency Fund Fast Facts
Limited Term Government and Agency Fund Commentary
Limited Term Government and Agency Fund Fact Sheet
|
||
|
Limited Term Government and Agency Fund
LGANX • Class N
|
Fixed | |
| Documents | ||
|
Senior Floating Rate and Fixed Income Fund
LSFYX • Class Y
|
Fixed | |
| Documents | ||
|
Senior Floating Rate and Fixed Income Fund
LSFNX • Class N
|
Fixed | |
| Documents | ||
|
Small Cap Growth Fund
LCGRX • Class R
|
Equity | |
| Documents | ||
|
Small Cap Growth Fund
LSSNX • Class N
|
Equity | |
| Documents | ||
|
Small Cap Growth Fund
LSSIX • Class I
|
Equity | |
| Documents | ||
|
Small Cap Value Fund
LSCRX • Class R
|
Equity | |
| Documents | ||
|
Small Cap Value Fund
LSCNX • Class N
|
Equity | |
| Documents | ||
|
Small Cap Value Fund
LSSCX • Class I
|
Equity | |
| Documents | ||
|
Small Cap Value Fund
LSVAX • Class A
|
Equity | |
| Documents | ||
|
Small/Mid Cap Growth Fund
LSMNX • Class N
|
Equity | |
| Documents | ||
|
Small/Mid Cap Growth Fund
LSMIX • Class I
|
Equity | |
| Documents | ||
|
Strategic Alpha Fund
LASYX • Class Y
|
Fixed | |
| Documents | ||
|
Strategic Alpha Fund
LASNX • Class N
|
Fixed | |
| Documents | ||
|
Strategic Income Fund
NEZYX • Class Y
|
Fixed | |
| Documents | ||
|
Strategic Income Fund
NEZNX • Class N
|
Fixed | |
| Documents | ||
Important Disclosures
Performance data shown represents past performance and is no guarantee of future results. Total return and value will vary and you may have a gain or loss when shares are sold. Current performance may be lower or higher than quoted. Performance for periods less than one year is cumulative, not annualized. Returns include changes in share price and reinvestment of dividends and capital gains, if any. When shown at NAV, Class A and C share performance does not reflect the deduction of the sales load. If reflected, the load would reduce the performance quoted.
Bond Fund Gross expense ratio: (N) 0.64%, (I) 0.72%, (R) 0.97%, (Admin) 1.19%; Net expense ratio: (N) 0.59%, (I) 0.64%, (R) 0.89%, (Admin) 1.14%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/27. Transfer Agent Fee waivers for Class N are contractual and are set to expire 4/30/27. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Core Plus Bond Fund Gross expense ratio: (N) 0.39%, (Y) 0.50%; Net expense ratio: (N) 0.39%, (Y) 0.48%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/27. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Fixed Income Fund Gross expense ratio: (I) 0.61%; Net expense ratio: (I) 0.61%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Global Allocation Fund Gross expense ratio: (N) 0.82%, (Y) 0.91%; Net expense ratio: (N) 0.82%, (Y) 0.91%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Global Bond Fund Gross expense ratio: (N) 0.67%, (I) 0.77%, (R) 1.02%; Net expense ratio: (N) 0.62%, (I) 0.67%, (R) 0.92%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/27. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Global Growth Fund Gross expense ratio: (N) 1.06%, (Y) 1.13%; Net expense ratio: (N) 0.90%, (Y) 0.95%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 3/31/26. Transfer Agent Fee waivers for Class N are contractual and are set to expire 3/31/25. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Growth Fund Gross expense ratio: (N) 0.57%, (Y) 0.67%; Net expense ratio: (N) 0.57%, (Y) 0.66%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. Transfer Agent Fee waivers for Class N are contractual and are set to expire 1/31/25. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
High Income Fund Gross expense ratio: (N) 1.31%, (Y) 1.26%; Net expense ratio: (N) 0.65%, (Y) 0.70%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
High Income Opportunities Fund Gross expense ratio: (I) 0.00%; Net expense ratio: (I) 0.00%; The fund does not pay any advisory, administration or distribution and service fees. Shares of the fund are currently offered exclusively to investors in certain wrap fee programs or other institutional advisory clients of Loomis, Sayles & Company that meet criteria determined by Loomis Sayles.
Inflation Protected Securities Fund Gross expense ratio: (N) 0.56%, (I) 0.64%, (R) 0.89%; Net expense ratio: (N) 0.35%, (I) 0.40%, (R) 0.65%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios. The Fund revised its investment strategies on 12/15/04; performance may have been different had the current investment strategies been in place for all periods shown.
Institutional High Income Fund Gross expense ratio: (I) 0.72%; Net expense ratio: (I) 0.72%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Intermediate Duration Bond Fund Gross expense ratio: (N) 0.40%, (Y) 0.48%; Net expense ratio: (N) 0.35%, (Y) 0.40%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios. Effective August 31, 2016, the Fundās Institutional Class shares were redesignated as Class Y shares. Accordingly, the returns shown in the table for Class Y shares prior to August 31, 2016 are those of Institutional Class shares. The Fund revised its investment strategies on May 28, 2010; performance may have been different had the current investment strategies been in place for all periods shown.
International Growth Fund Gross expense ratio: (N) 1.39%, (Y) 1.50%; Net expense ratio: (N) 0.90%, (Y) 0.96%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Investment Grade Bond Fund Gross expense ratio: (N) 0.48%, (Y) 0.56%; Net expense ratio: (N) 0.43%, (Y) 0.48%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/27. Transfer Agent Fee waivers for Class N are contractual and are set to expire 4/30/27. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Investment Grade Fixed Income Fund Gross expense ratio: (I) 0.57%; Net expense ratio: (I) 0.53%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Limited Term Government and Agency Fund Gross expense ratio: (N) 0.43%, (Y) 0.52%; Net expense ratio: (N) 0.40%, (Y) 0.45%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Securitized Asset Fund Gross expense ratio: (I) 0.00%; Net expense ratio: (I) 0.00%; The fund does not pay any advisory, administration or distribution and service fees. Shares of the fund are currently offered exclusively to investors in certain wrap fee programs or other institutional advisory clients of Loomis, Sayles & Company that meet criteria determined by Loomis Sayles.
Senior Floating Rate and Fixed Income Fund Gross expense ratio: (N) 0.78%, (Y) 0.81%; Net expense ratio: (N) 0.69%, (Y) 0.74%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 3/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios and/or yields.
Small Cap Growth Fund Gross expense ratio: (N) 0.83%, (I) 0.94%, (R) 1.19%; Net expense ratio: (N) 0.83%, (I) 0.94%, (R) 1.19%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Small Cap Value Fund Gross expense ratio: (N) 0.88%, (I) 0.96%, (R) 1.21%, (Admin) 1.47%; Net expense ratio: (N) 0.85%, (I) 0.90%, (R) 1.15%, (Admin) 1.40%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Small/Mid Cap Growth Fund Gross expense ratio: (N) 0.93%, (I) 0.95%; Net expense ratio: (N) 0.83%, (I) 0.85%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 1/31/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Strategic Alpha Fund Gross expense ratio: (N) 0.73%, (Y) 0.80%; Net expense ratio: (N) 0.68%, (Y) 0.73%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
Strategic Income Fund Gross expense ratio: (N) 0.67%, (Y) 0.75%; Net expense ratio: (N) 0.62%, (Y) 0.67%; As of the most recent prospectus, the investment advisor has contractually agreed to waive fees and/or reimburse expenses (with certain exceptions) once the expense limitation of the fund has been exceeded. This arrangement is set to expire on 4/30/26. When an expense limitation has not been exceeded, the fund may have similar expense ratios.
*Net asset value is a mutual fund’s price per share. The value is calculated daily, based on the value of the securities in the portfolio at market close.
Sales charges
Class A
Maximum sales charge – 5.75%. Some funds may have a lower sales charge. Please see the prospectus for the fund for more information.
Class C
Maximum contingent deferred sales charge (CDSC) ā 1.00%. The percentage of this charge may vary. Please see the prospectus for the fund for more information.
Class N, Y, R (Retail) and Institutional
No maximum sales charge ā other fees and expenses apply.
Investing involves risk including possible loss of principal.
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Attribution reports for select mutual funds are available on individual fund pages. Attribution reports with additional related information and/or for other historical time periods for these and certain other funds are available upon request.
Before investing, consider the fund’s investment objectives, risks, charges, and expenses. You may obtain a prospectus or a summary prospectus containing this and other information on this website. Read it carefully.
Natixis Distribution, LLC (fund distributor, member FINRA|SIPC) and Loomis, Sayles & Company, L.P. are affiliated.
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