ISIN: IE00BS7K0Z35
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Multi-Sector Income Fund

A part of the Lord Abbett Global Funds.

Class A - (USD) ACC
Overall Morningstar Ratings, USD Flexible Bond

Important Risks to Consider

Primary Risk: The value of an investment and any income taken from it is not guaranteed and can go down as well as up, you may not get back the amount you originally invested.

Supplementary Fund Risks to Consider: The Fund is subject to the general risks and considerations associated with investing in debt securities.  Among these is credit risk, which is the risk that a counterparty or an issuer of a Fund asset will fail to meet its payment obligations, and interest rate risk, which is the risk that as interest rates rise, bond prices may fall. The Fund may substantially invest in high yield securities.  High yield securities typically pay a higher level of income but generally involve greater credit risk and sensitivity to economic developments than investment grade debt securities. Impairment of the value of underlying assets of mortgage-backed and asset-backed securities may result in a reduction in the value of the security and a financial loss to the Fund. The use of financial derivative instruments (FDI) may create leverage, leading to greater fluctuations in assets as well as potentially resulting in gains or losses that are greater than the amount originally invested in FDI. Investment in emerging markets may expose the Fund to more social, political, regulatory and currency risks than securities in developed markets. For assets denominated in a currency other than the fund's base currency of U.S. dollars, changes in currency exchange rates may reduce or increase the returns an investor might expect to receive independent of the performance of such assets. Convertible securities expose the Fund to the risk the issuer of the fixed-income portion of the security may fail to meet its obligations as well as the performance of the underlying stock into which it can be converted. Please refer to the fund’s legal and regulatory documentation for more detailed risk information.

Summary
Fund Goal

Fund Facts




Characteristics




Investment Approach

A Pioneer in Multi-Sector
Managed by a firm with more than 50 years of experience in multi-sector credit investing.
Collaborative Investment Team
An experienced team with deep sector expertise across multiple fixed income segments.
Flexible Approach
A dynamic, opportunistic strategy with the flexibility to adjust allocations based on market opportunity that has delivered strong results in various market environments.
Fund Identifiers

ISIN
IE00BS7K0Z35

CUSIP
G5642L265

BLOOMBERG
LAMTSIU

SEDOL
BS7K0Z3

The Investment Team

Professional Headshot of Steven Rocco

Steven F. Rocco, CFA

Partner & Co-Head of Taxable Fixed Income
24 Years of Experience
Professional Headshot of Robert Lee

Robert A. Lee

Partner & Co-Head of Taxable Fixed Income
34 Years of Experience
Professional Headshot of Andrew O'Brien

Andrew H. O'Brien, CFA

Partner, Portfolio Manager
27 Years of Experience
Professional Headshot of Kewjin Yuoh

Kewjin Yuoh

Partner, Portfolio Manager
31 Years of Experience
Professional Headshot of Robert Clark

Robert S. Clark, CFA

Portfolio Manager
28 Years of Experience
Professional Headshot of Christopher Gizzo

Christopher Gizzo, CFA

Partner, Deputy Director of Leveraged Credit
17 Years of Experience
By The Numbers

Additional Portfolio Managers
35

Credit Research Analysts
36

Fixed Income Traders
9
Years of industry experience as of 01/01/2025.
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Important Information

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