Mutual Funds Performance Information | Lord Abbett
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(as of 12/05/2015)

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    The performance quoted represents past performance, which is no indication of future results. Current performance may be higher or lower than the performance data quoted. Returns shown at net asset value have all distributions reinvested. If a sales charge had been deducted, the results would have been lower. The investment return and principal value of an investment will fluctuate so that shares, on any given day or when redeemed, may be worth more or less than the original cost. Therefore, there can be no assurance of future results.

    • w Sales Charge
    • w/o Sales Charge

    Daily Prices & YTD Returns

    (as of 05/05/2025)

    Average Annual Returns

    (as of 04/30/2025)

    (as of 03/31/2025)

    • Month
    • Quarter

    Expense Ratio1

    Factsheets & Commentary

    Fund Name w/o sales charge Change YTD 1-YR 3-YR 5-YR 10-YR Since Inception Gross Net Adj. FS QC

    TRACKED FUNDS

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    U.S. Equity

    Affiliated Fund (I)
    LAFYXInception Date : 03/27/1998
    $18.78 -$0.02 -0.11% 0.65% - 10.09% 7.02% - - 9.14% 7.31% - - 12.90% 15.57% - - 8.29% 8.53% - - 0.44% 0.44% -
    Alpha Strategy Fund (I)
    ALFYXInception Date : 10/19/2004
    $25.31 -$0.09 -0.35% -6.47% - 2.55% -3.70% - - 3.98% 0.59% - - 10.22% 13.08% - - 6.54% 6.42% - - 1.22% 1.12% - -
    Convertible Fund (I)
    LCFYXInception Date : 06/30/2003
    $14.47 -$0.01 -0.07% 2.01% - 12.00% 7.25% - - 3.75% 0.03% - - 8.91% 10.75% - - 8.26% 8.18% - - 0.89% 0.89% - -
    Developing Growth Fund (I)
    LADYXInception Date : 12/30/1997
    $26.34 -$0.02 -0.08% -10.95% - -1.25% -10.70% - - 1.36% -4.60% - - 4.88% 7.33% - - 6.74% 5.97% - - 0.69% 0.69% -
    Dividend Growth Fund (I)
    LAMYXInception Date : 12/27/2001
    $22.67 -$0.06 -0.26% -0.80% - 13.07% 8.16% - - 11.77% 9.10% - - 14.58% 17.13% - - 11.16% 11.21% - - 0.64% 0.64% -
    Focused Growth Fund (I)
    LFGIXInception Date : 02/01/2019
    $34.79 -$0.12 -0.34% -5.74% - 25.31% 11.25% - - 14.66% 7.14% - - 17.45% 19.48% - - - - - - 1.20% 0.80% - -
    Focused Large Cap Value Fund (I)
    LIFLXInception Date : 08/01/2019
    $13.73 -$0.02 -0.15% 0.51% - 10.04% 6.96% - - 10.67% 8.12% - - 17.37% 21.22% - - - - - - 1.39% 0.71% - -
    Focused Small Cap Value Fund (I)
    LMVYXInception Date : 07/09/1999
    $26.05 -$0.33 -1.25% -12.26% - -1.07% -2.89% - - 1.89% 0.73% - - 14.15% 18.38% - - 7.22% 7.34% - - 1.10% 1.03% - -
    Fundamental Equity Fund (I)
    LAVYXInception Date : 03/31/2003
    $15.06 $0.00 0.00% -0.86% - 9.00% 7.50% - - 9.88% 8.43% - - 14.59% 17.78% - - 8.73% 9.13% - - 0.70% 0.70% - -
    Growth Leaders Fund (I)
    LGLIXInception Date : 06/30/2011
    $46.25 -$0.13 -0.28% -6.90% - 18.27% 6.34% - - 12.60% 5.56% - - 14.65% 16.99% - - 14.39% 13.64% - - 0.65% 0.65% - -
    Growth Opportunities Fund (I)
    LMGYXInception Date : 12/09/1998
    $30.19 +$0.07 +0.23% -3.52% - 11.73% -2.14% - - 6.14% -0.12% - - 8.06% 9.55% - - 8.12% 7.26% - - 0.90% 0.71% - -
    Micro Cap Growth Fund (I)
    LMIYXInception Date : 07/09/1999
    $18.99 -$0.08 -0.42% -12.85% - 7.21% -2.93% - - 4.22% -1.69% - - 10.90% 14.13% - - 10.39% 9.59% - - 1.13% 1.13% - -
    Mid Cap Stock Fund (I)
    LMCYXInception Date : 05/03/1999
    $31.51 -$0.12 -0.38% -5.40% - 1.87% -0.31% - - 7.17% 5.89% - - 13.37% 16.98% - - 6.26% 6.54% - - 0.77% 0.77% - -
    Small Cap Value Fund (I)
    LRSYXInception Date : 12/30/1997
    $18.60 -$0.19 -1.01% -11.30% - -1.17% -2.97% - - 4.30% 2.94% - - 11.60% 15.45% - - 4.94% 5.18% - - 0.96% 0.96% - -
    Value Opportunities Fund (I)
    LVOYXInception Date : 12/30/2005
    $18.55 -$0.07 -0.38% -8.12% - -0.05% -4.07% - - 4.16% 2.29% - - 10.52% 13.77% - - 6.28% 6.44% - - 0.94% 0.94% - -

    Global & International Equity

    Emerging Markets Equity Fund (I)
    EMILXInception Date : 03/11/2022
    $16.70 $0.00 0.00% 7.46% - 11.44% 9.61% - - 5.83% 3.15% - - - - - - - - - - 5.77% 0.90% - -
    Global Equity Fund (I)
    LGCYXInception Date : 01/19/2017
    $17.18 -$0.03 -0.17% 3.18% - 12.10% 4.40% - - 11.93% 7.65% - - 14.99% 16.73% - - - - - - 1.47% 0.65% -
    Health Care Fund (I)
    LHCIXInception Date : 08/01/2019
    $18.50 -$0.06 -0.32% -4.39% - 0.37% -5.92% - - 3.36% 0.24% - - 7.11% 9.35% - - - - - - 3.09% 0.78% - -
    International Equity Fund (I)
    LICYXInception Date : 12/31/2003
    $16.57 +$0.02 +0.12% 13.80% - 13.65% 6.17% - - 9.73% 5.99% - - 11.89% 12.60% - - 5.08% 5.10% - - 0.72% 0.72% - -
    International Growth Fund (I)
    LIAGXInception Date : 06/28/2021
    $14.98 -$0.01 -0.07% 8.71% - 9.78% 0.46% - - 7.52% 3.31% - - - - - - - - - - 9.12% 0.70% - -
    International Opportunities Fund (I)
    LINYXInception Date : 12/30/1997
    $20.75 +$0.09 +0.44% 12.34% - 11.92% 1.64% - - 6.49% 2.21% - - 9.90% 10.90% - - 4.48% 4.53% - - 1.00% 1.00% - -
    International Value Fund (I)
    LAIDXInception Date : 06/30/2008
    $9.13 +$0.01 +0.11% 15.46% - 17.54% 12.63% - - 10.98% 7.90% - - 13.66% 14.53% - - 4.26% 4.54% - - 0.74% 0.74% - -

    Multi-Asset

    Multi-Asset Balanced Opportunity Fund (I)
    LABYXInception Date : 10/19/2004
    $12.20 -$0.02 -0.16% 0.29% - 10.24% 6.81% - - 7.11% 5.00% - - 9.83% 11.56% - - 6.07% 6.20% - - 0.98% 0.98% 0.82% -
    Multi-Asset Income Fund (I)
    ISFYXInception Date : 06/30/2005
    $15.94 -$0.01 -0.06% 1.37% - 9.39% 6.48% - - 5.19% 3.47% - - 7.13% 8.25% - - 4.66% 4.78% - - 0.94% 0.94% 0.77% -

    Fixed Income

    Bond Debenture Fund (I)
    LBNYXInception Date : 03/27/1998
    $6.95 -$0.01 -0.14% 0.19% - 6.50% 5.72% - - 3.28% 2.40% - - 4.11% 5.05% - - 3.69% 3.76% - - 0.70% 0.70% 0.59%
    Core Fixed Income Fund (I)
    LCRYXInception Date : 03/16/1998
    $9.17 -$0.01 -0.11% 2.10% - 8.19% 5.50% - - 1.94% 0.68% - - 0.04% 0.33% - - 1.61% 1.55% - - 0.36% 0.32% -
    Core Plus Bond Fund (I)
    LAPIXInception Date : 12/08/2015
    $12.68 -$0.02 -0.16% 1.64% - 8.24% 6.05% - - 2.63% 1.44% - - 1.44% 1.94% - - - - - - 0.43% 0.43% -
    Emerging Markets Bond (I)
    LDMYXInception Date : 10/19/2004
    $4.14 -$0.01 -0.24% 0.57% - 8.15% 7.09% - - 5.46% 3.60% - - 3.53% 4.27% - - 1.97% 2.28% - - 0.81% 0.81% - -
    Emerging Markets Corporate Debt Fund (I)
    LCDIXInception Date : 12/31/2013
    $13.18 -$0.01 -0.08% 1.38% - 7.35% 6.85% - - 4.93% 4.10% - - 3.75% 4.80% - - 3.41% 3.65% - - 1.55% 0.85% - -
    Floating Rate Fund (I)
    LFRIXInception Date : 12/31/2007
    $7.99 $0.00 0.00% 0.33% - 5.52% 6.62% - - 6.67% 6.70% - - 7.69% 8.37% - - 4.21% 4.33% - - 0.60% 0.60% -
    High Yield Fund (I)
    LAHYXInception Date : 05/03/1999
    $6.23 -$0.01 -0.16% -0.34% - 6.91% 6.92% - - 4.21% 3.30% - - 5.78% 6.87% - - 4.07% 4.30% - - 0.73% 0.73% -
    Income Fund (I)
    LAUYXInception Date : 10/19/2004
    $2.39 $0.00 0.00% 1.19% - 7.66% 5.87% - - 2.77% 1.59% - - 2.23% 3.45% - - 2.76% 2.83% - - 0.51% 0.51% - -
    Inflation Focused Fund (I)
    LIFIXInception Date : 04/29/2011
    $11.75 +$0.01 +0.09% 3.21% - 7.68% 7.15% - - 2.83% 2.71% - - 7.17% 8.20% - - 3.16% 3.26% - - 0.59% 0.59% - -
    Investment Grade Floating Rate Fund (I)
    LGRYXInception Date : 05/04/2023
    $10.20 $0.00 0.00% 1.50% - 6.75% 7.33% - - - - - - - - - - - - - - 1.30% 0.35% -
    Short Duration Core Bond Fund (I)
    LSCIXInception Date : 04/20/2017
    $9.21 $0.00 0.00% 1.97% - 6.73% 5.95% - - 4.15% 3.75% - - 2.70% 2.97% - - - - - - 0.52% 0.40% - -
    Short Duration High Yield Fund (I)
    LSYIXInception Date : 05/01/2020
    $9.50 -$0.01 -0.11% -0.75% - 6.26% 7.28% - - 6.04% 5.80% - - 6.66% - - - - - - - 0.51% 0.45% -
    Short Duration Income Fund (I)
    LLDYXInception Date : 10/19/2004
    $3.86 -$0.01 -0.26% 1.80% - 6.96% 6.12% - - 3.90% 3.40% - - 3.12% 3.50% - - 2.54% 2.51% - - 0.38% 0.38% -
    Total Return Fund (I)
    LTRYXInception Date : 12/14/1998
    $8.66 -$0.01 -0.12% 1.75% - 8.05% 5.69% - - 2.08% 0.87% - - 0.68% 1.07% - - 1.82% 1.80% - - 0.46% 0.42% -
    Ultra Short Bond Fund (I)
    LUBYXInception Date : 10/17/2016
    $10.02 $0.00 0.00% 1.57% - 5.80% 5.84% - - 4.87% 4.68% - - 3.02% 3.17% - - - - - - 0.28% 0.28% -
    USG & GSE Money Market Fund (I)
    LAYXXInception Date : 10/19/2004
    $1.00 $0.00 0.00% 1.40% - 4.66% 4.74% - - 4.16% 4.05% - - 2.50% 2.43% - - 1.59% 1.55% - - 0.28% 0.28% - - -

    Tax-Free Income

    California Tax Free Fund (I)
    CAILXInception Date : 01/31/2011
    $9.77 -$0.01 -0.10% -2.13% - 1.23% 1.14% - - 2.01% 0.85% - - 1.18% 0.93% - - 2.08% 2.13% - - 0.57% 0.57% - -
    High Income Municipal Bond Fund (I)
    HYMIXInception Date : 07/26/2010
    $10.55 -$0.01 -0.09% -1.62% - 3.89% 4.28% - - 2.44% 1.53% - - 3.16% 2.69% - - 3.19% 3.34% - - 0.62% 0.56% -
    Intermediate Tax Free Fund (I)
    LAIIXInception Date : 01/31/2011
    $10.03 -$0.01 -0.10% -0.53% - 2.48% 2.27% - - 2.57% 1.76% - - 1.84% 1.61% - - 2.02% 2.05% - - 0.51% 0.51% - -
    National Tax Free Fund (I)
    LTNIXInception Date : 07/26/2010
    $10.12 -$0.01 -0.10% -1.89% - 2.01% 1.92% - - 2.15% 1.15% - - 1.73% 1.39% - - 2.30% 2.36% - - 0.58% 0.49% -
    New Jersey Tax Free Fund (I)
    LINJXInception Date : 01/31/2011
    $4.58 -$0.01 -0.22% -2.24% - 1.33% 0.92% - - 1.88% 0.84% - - 1.70% 1.26% - - 2.27% 2.28% - - 0.65% 0.62% - -
    New York Tax Free Fund (I)
    NYLIXInception Date : 01/31/2011
    $10.32 -$0.01 -0.10% -1.70% - 1.44% 0.97% - - 2.12% 1.06% - - 1.62% 1.16% - - 2.06% 2.07% - - 0.58% 0.58% - -
    $14.05 -$0.01 -0.07% 0.06% - 3.99% 4.41% - - 2.88% 2.28% - - 2.80% 2.60% - - - - - - 0.48% 0.45% - -
    Short Duration Tax Free Fund (I)
    LISDXInception Date : 12/31/2008
    $14.99 -$0.01 -0.07% 0.52% - 3.31% 3.30% - - 2.49% 2.14% - - 1.55% 1.46% - - 1.31% 1.32% - - 0.46% 0.45% - -

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