Daily NAVs/Distribution

Investment Grade Bond Fund (Class N)

Ex Date Reinvest Date Income Short Term Long Term Total Reinv.NAV
08/27/202508/28/2025$0.0396nonenone$0.0396$9.8600
07/28/202507/29/2025$0.0416nonenone$0.0416$9.7800
06/27/202506/30/2025$0.0391nonenone$0.0391$9.8200
05/28/202505/29/2025$0.0397nonenone$0.0397$9.6800
04/28/202504/29/2025$0.0403nonenone$0.0403$9.7700
03/28/202503/31/2025$0.0408nonenone$0.0408$9.8100
02/28/202502/28/2025$0.0367nonenone$0.0367$9.8900
01/30/202501/31/2025$0.0377nonenone$0.0377$9.7500
12/18/202412/19/2024$0.0504nonenone$0.0504$9.7400
11/25/202411/26/2024$0.0408nonenone$0.0408$9.8800
10/24/202410/25/2024$0.0409nonenone$0.0409$9.8900
09/23/202409/24/2024$0.0399nonenone$0.0399$10.1600