| NAV |
4.39 |
8.41 |
11.13 |
7.52 |
5.66 |
5.90 |
5.56 |
| POP |
-0.56 |
3.26 |
5.85 |
5.79 |
4.63 |
5.39 |
5.14 |
| NAV |
2.81 |
5.49 |
12.08 |
7.11 |
5.15 |
5.87 |
5.40 |
| POP |
-2.08 |
0.48 |
6.76 |
5.39 |
4.13 |
5.36 |
4.98 |
| INDEX |
3.49 |
5.33 |
9.50 |
7.55 |
5.54 |
6.47 |
NA |
Index: Barclays Capital U.S. Aggregate Bond Index
The Barclays Capital U.S. Aggregate Bond Index measures the U.S. investment grade fixed rate bond market. The index is calculated on a total return basis. The index is unmanaged and not available for direct investment.
POP (Public Offering Price) performance reflects the deduction of the maximum sales charge of 4.75%. A contingent deferred sales charge of 0.50% may apply on certain redemptions made within 18 months following purchases on which a finder's fee has been paid.
Fund class operating expenses are 0.86% and gross operating expenses are 1.02%.
Operating expenses reflect a voluntary expense reimbursement, which may be discontinued at any time.