Corporate Opportunities Fund | Lord Abbett
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    Corporate Opportunities Fund

    Summary

    Summary

    What is the Corporate Opportunities Fund?

    The fund seeks to deliver high current income and potential total return over a full market cycle by investing in stressed corporate debt and complex business structures with a focus on downside mitigation.

    A LEADER IN CREDIT

    Managed by an experienced team with deep credit research capabilities and over five decades of leveraged credit investing.

    A FOCUS ON A MARGIN OF SAFETY

    Seeks to identify mispriced assets with a positive catalyst, with a focus on obligations that are secured, senior in the capital structure, or those we believe are well covered by underlying asset values.

    INTERVAL FUND STRUCTURE

    Provides flexibility in seeking to take advantage of high conviction opportunities and market inefficiencies.

    Yield

    Average Yield to Maturity as of 03/31/2025

    10.48%

    Distribution Yield as of 05/02/2025  

    8.92%

    30-Day Standardized Yield 1 as of 03/31/2025  

      Subsidized2 Un-Subsidized3
    w/o sales charge 8.47% 7.23%

    Fund Basicsas of 03/31/2025

    Total Net Assets
    $185.83 M
    Inception Date
    09/13/2021
    Dividend Frequency
    Monthly
    Fund Gross Expense Ratio
    2.35%
    Fund Net Expense Ratio
    1.55%
    Adjusted Expense Ratio
    1.50%
    Number of Holdings
    83
    Minimum Initial Investment
    $2,500+

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 09/13/2021
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 09/13/2021
    w/o sales charge -2.00% 4.38% 5.91% -10000.0% -10000.0% 4.90%
    Lipper Category Avg. -10000.0% -10000.0% -10000.0% -10000.0% -10000.0% -10000.0%
    Morningstar LSTA US Leveraged Loan Index 0.43% 6.16% 7.12% -10000.0% -10000.0% -10000.0%
    w/ sales charge -4.45% 1.76% 5.02% -10000.0% -10000.0% 4.16%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 09/13/2021
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 09/13/2021
    w/o sales charge 0.45% 7.41% 6.42% -10000.0% -10000.0% 5.75%
    Lipper Category Avg. -10000.0% -10000.0% -10000.0% -10000.0% -10000.0% -10000.0%
    Morningstar LSTA US Leveraged Loan Index 0.48% 6.86% 7.21% -10000.0% -10000.0% -10000.0%
    w/ sales charge -2.06% 4.72% 5.54% -10000.0% -10000.0% 4.99%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    RELATED CONTENT

    Interval Funds Explained

    Interval funds can allocate to asset classes that are less liquid than those typically found in mutual funds but may offer the potential to generate higher long-term returns.

     

    LEAD PORTFOLIO MANAGERS

    Rocco-Steve_headshot

    Steven F. Rocco, CFA
    Partner, Co-Head of Taxable Fixed Income
    24 Years of Industry Experience

    Solomon-Todd_headshot

    Todd Solomon
    Portfolio Manager
    29 Years of Industry Experience

    Posner-Kearney_headshot

    Kearney Posner, CFA
    Partner, Portfolio Manager
    26 Years of Industry Experience

    Kang-Eric_headshot

    Eric Kang
    Partner, Portfolio Manager
    26 Years of Industry Experience

    Performance

    Performance

    Average Yield to Maturity as of 03/31/2025

    10.48%

    Distribution Yield as of 05/02/2025  

    8.92%

    30-Day Standardized Yield 1 as of 03/31/2025  

      Subsidized2 Un-Subsidized3
    w/o sales charge 8.47% 7.23%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 09/13/2021
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 09/13/2021
    w/o sales charge -2.00% 4.38% 5.91% -10000.0% -10000.0% 4.90%
    Lipper Category Avg. -10000.0% -10000.0% -10000.0% -10000.0% -10000.0% -10000.0%
    Morningstar LSTA US Leveraged Loan Index 0.43% 6.16% 7.12% -10000.0% -10000.0% -10000.0%
    w/ sales charge -4.45% 1.76% 5.02% -10000.0% -10000.0% 4.16%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 09/13/2021
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 09/13/2021
    w/o sales charge 0.45% 7.41% 6.42% -10000.0% -10000.0% 5.75%
    Lipper Category Avg. -10000.0% -10000.0% -10000.0% -10000.0% -10000.0% -10000.0%
    Morningstar LSTA US Leveraged Loan Index 0.48% 6.86% 7.21% -10000.0% -10000.0% -10000.0%
    w/ sales charge -2.06% 4.72% 5.54% -10000.0% -10000.0% 4.99%

    Fund Expense Ratio :

    Gross 2.35%

    Net 1.55%

    Year Fund Returns Morningstar LSTA US Leveraged Loan Index
    Year
    Fund Returns
    Morningstar LSTA US Leveraged Loan Index
    2024 10.63% 8.95%
    2023 15.48% 13.32%
    2022 -5.25% -0.77%
    Year Q1 Q2 Q3 Q4
    Year
    Q1
    Q2
    Q3
    Q4
    2025 0.45% -10000.0% -10000.0% -10000.0%
    2024 3.46% 2.01% 2.05% 2.72%
    2023 3.63% 3.96% 2.93% 4.13%
    2022 0.88% -5.72% -0.24% -0.13%

    NAV Historical Prices

    Date Net Asset Value

    Portfolio

    Portfolio

    Type Assets
    US Bank Loan High Yield
    US Corp High Yield
    Cash
    Emerging Market
    Non-US Corp High Yield
    Non-US Bank Loan High Yield
    Currency
    Rating Assets
    3-3.99 yrs
    4-4.99 yrs
    5-5.99 yrs
    2-2.99 yrs
    1-1.99 yrs
    6-6.99 yrs
    7-7.99 yrs
    0-0.99 yrs
    14-14.99 yrs
    16-16.99 yrs

    Credit Quality Distribution as of 03/31/2025

    Rating Assets
    B-
    B
    CCC
    CCC+
    Not Rated
    B+
    BB-
    CCC-
    CC

    Portfolio Details as of 03/31/2025

    Total Net Assets
    $185.83 M
    Average Effective Duration
    0.97 Years
    Average Life
    2.89 Years
    Average Maturity
    4.19 Years
    Number of Issues
    83
    Average Yield to Maturity
    10.48%

    Dividends & Cap Gains

    Dividends & Cap Gains

    Dividend Payments

    For
    YTD Dividends Paidas of 05/02/2025
    $0.26976
    Dividend Frequency
    Monthly (Daily Accrual)
    Record Date Ex-Dividend Date Reinvest & Payable Date Dividend Reinvest Price
    Daily Daily 04/30/2025 $0.06627 $8.89
    Daily Daily 03/31/2025 $0.06788 $9.18
    Daily Daily 02/28/2025 $0.06359 $9.35
    Daily Daily 01/31/2025 $0.07202 $9.39

    Upcoming Dividend Payment Dates

    Record Date Ex-Dividend Date Reinvest & Payable Date
    Daily Daily 05/31/2025
    Daily Daily 06/30/2025
    Daily Daily 07/31/2025
    Daily Daily 08/31/2025
    Daily Daily 09/30/2025
    Daily Daily 10/31/2025
    Daily Daily 11/30/2025
    Daily Daily 12/31/2025

    Capital Gains Distributions

    For
    Record Date Reinvest & Payable Date Long-term Short-term * Total Reinvest Price
    07/27/2022 07/28/2022 $0.0048 - $0.0048 $9.18

    Fees & Expenses

    Fees & Expenses

    Sales Charge Schedule as of 05/02/2025

      Sales Charge Dealer's Concession Prices at Breakpoint
    Less than $100,000 2.50% 2.50% $9.15
    $100,000 to $249,999 2.00% 2.00% $9.10
    Greater than $250,000 0.00% 1.50% $8.92

    Expense Ratio

    Fund Gross Expense Ratio 2.35%
    Fund Net Expense Ratio 1.55%
    Adjusted Expense Ratio 1.50%

    Fund Documents

    Fund Documents

    0Documents selected
    Portfolio Holdings 1Q
    Publish Date:11/03/2015
    Portfolio Holdings 3Q
    Publish Date:11/03/2015
    Statutory Prospectus
    Publish Date:11/03/2015
    Statutory Prospectus
    Publish Date:11/03/2015
    SAI
    Publish Date:11/03/2015
    SAI
    Publish Date:11/03/2015
    Annual Report
    Publish Date:11/03/2015
    Semi-Annual Report
    Publish Date:11/03/2015
    Fact Sheet
    Publish Date:11/03/2015
    Repurchase Calendar
    Publish Date:11/03/2015

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