Mutual Funds

Home

 

Daily NAVs/Distribution

Intermediate Duration Bond Fund (Class Y)

Share Class:



NAV - Previous 90 Days

Current NAV Previous NAV % Chg 52 Week High 52 Week Low
$10.56 $10.55 0.09% $10.56 $9.91

NAVs - Previous 90 Days:

Date NAV Price Change % Change
08/16/2019$10.56$0.010.09%
08/15/2019$10.55$0.020.19%
08/14/2019$10.53$0.030.29%
08/13/2019$10.50$-0.03-0.28%
08/12/2019$10.53$0.030.29%
08/09/2019$10.50$-0.01-0.10%
08/08/2019$10.51$-0.02-0.19%
08/07/2019$10.53$0.020.19%
08/06/2019$10.51$0.000.00%
08/05/2019$10.51$0.040.38%
08/02/2019$10.47$0.010.10%
08/01/2019$10.46$0.050.48%
07/31/2019$10.41$0.000.00%
07/30/2019$10.41$0.000.00%
07/29/2019$10.41$-0.01-0.10%
07/26/2019$10.42$-0.01-0.10%
07/25/2019$10.43$0.000.00%
07/24/2019$10.43$0.000.00%
07/23/2019$10.43$0.000.00%
07/22/2019$10.43$0.000.00%
07/19/2019$10.43$0.000.00%
07/18/2019$10.43$0.010.10%
07/17/2019$10.42$0.020.19%
07/16/2019$10.40$-0.01-0.10%
07/15/2019$10.41$0.010.10%
07/12/2019$10.40$0.010.10%
07/11/2019$10.39$-0.02-0.19%
07/10/2019$10.41$0.010.10%
07/09/2019$10.40$-0.01-0.10%
07/08/2019$10.41$0.010.10%
07/05/2019$10.40$-0.04-0.38%
07/03/2019$10.44$0.000.00%
07/02/2019$10.44$0.030.29%
07/01/2019$10.41$-0.01-0.10%
06/28/2019$10.42$0.000.00%
06/27/2019$10.42$0.020.19%
06/26/2019$10.40$-0.05-0.48%
06/25/2019$10.45$0.010.10%
06/24/2019$10.44$0.030.29%
06/21/2019$10.41$-0.02-0.19%
06/20/2019$10.43$0.020.19%
06/19/2019$10.41$0.020.19%
06/18/2019$10.39$0.010.10%
06/17/2019$10.38$0.000.00%
06/14/2019$10.38$0.000.00%
06/13/2019$10.38$0.020.19%
06/12/2019$10.36$0.010.10%
06/11/2019$10.35$0.000.00%
06/10/2019$10.35$-0.02-0.19%
06/07/2019$10.37$0.020.19%
06/06/2019$10.35$-0.01-0.10%
06/05/2019$10.36$0.010.10%
06/04/2019$10.35$-0.01-0.10%
06/03/2019$10.36$0.030.29%
05/31/2019$10.33$0.030.29%
05/30/2019$10.30$0.010.10%
05/29/2019$10.29$-0.02-0.19%
05/28/2019$10.31$0.020.19%
05/24/2019$10.29$-0.01-0.10%
05/23/2019$10.30$0.030.29%
05/22/2019$10.27$0.010.10%
05/21/2019$10.26$-0.01-0.10%
05/20/2019$10.27$0.000.00%