Daily NAVs/Distribution

Core Plus Bond Fund (Class N)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
10/27/202510/28/2025$0.0407nonenone$0.0407$11.8400
09/25/202509/26/2025$0.0441nonenone$0.0441$11.7200
08/25/202508/26/2025$0.0446nonenone$0.0446$11.6100
07/25/202507/28/2025$0.0436nonenone$0.0436$11.5200
06/26/202506/27/2025$0.0430nonenone$0.0430$11.5800
05/27/202505/28/2025$0.0468nonenone$0.0468$11.3800
04/25/202504/28/2025$0.0420nonenone$0.0420$11.4900
03/27/202503/28/2025$0.0421nonenone$0.0421$11.4700
02/27/202502/28/2025$0.0408nonenone$0.0408$11.5500
01/29/202501/30/2025$0.0377nonenone$0.0377$11.3700
12/16/202412/17/2024$0.0388nonenone$0.0388$11.4400
11/26/202411/27/2024$0.0402nonenone$0.0402$11.5200