• w Sales Charge
  • w/o Sales Charge

Daily Prices & YTD Returns

(as of 05/02/2025)

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
$18.80 +$0.33 +1.79% 0.76% 0.76% 10.09% 7.02% 10.09% 7.02% 9.14% 7.31% 9.14% 7.31% 12.90% 15.57% 12.90% 15.57% 8.29% 8.53% 8.29% 8.53% 0.44% 0.44% -
Alpha Strategy Fund (I)
ALFYXInception Date : 10/19/2004
$25.40 +$0.52 +2.09% -6.13% -6.13% 2.55% -3.70% 2.55% -3.70% 3.98% 0.59% 3.98% 0.59% 10.22% 13.08% 10.22% 13.08% 6.54% 6.42% 6.54% 6.42% 1.22% 1.12% -
Convertible Fund (I)
LCFYXInception Date : 06/30/2003
$14.48 +$0.17 +1.19% 2.08% 2.08% 12.00% 7.25% 12.00% 7.25% 3.75% 0.03% 3.75% 0.03% 8.91% 10.75% 8.91% 10.75% 8.26% 8.18% 8.26% 8.18% 0.89% 0.89% -
Developing Growth Fund (I)
LADYXInception Date : 12/30/1997
$26.36 +$0.75 +2.93% -10.89% -10.89% -1.25% -10.70% -1.25% -10.70% 1.36% -4.60% 1.36% -4.60% 4.88% 7.33% 4.88% 7.33% 6.74% 5.97% 6.74% 5.97% 0.69% 0.69% -
Dividend Growth Fund (I)
LAMYXInception Date : 12/27/2001
$22.73 +$0.37 +1.65% -0.54% -0.54% 13.07% 8.16% 13.07% 8.16% 11.77% 9.10% 11.77% 9.10% 14.58% 17.13% 14.58% 17.13% 11.16% 11.21% 11.16% 11.21% 0.64% 0.64% -
Focused Growth Fund (I)
LFGIXInception Date : 02/01/2019
$34.91 +$0.66 +1.93% -5.42% -5.42% 25.31% 11.25% 25.31% 11.25% 14.66% 7.14% 14.66% 7.14% 17.45% 19.48% 17.45% 19.48% - - - - 1.20% 0.80% -
Focused Large Cap Value Fund (I)
LIFLXInception Date : 08/01/2019
$13.75 +$0.26 +1.93% 0.66% 0.66% 10.04% 6.96% 10.04% 6.96% 10.67% 8.12% 10.67% 8.12% 17.37% 21.22% 17.37% 21.22% - - - - 1.39% 0.71% -
Focused Small Cap Value Fund (I)
LMVYXInception Date : 07/09/1999
$26.38 +$0.59 +2.29% -11.15% -11.15% -1.07% -2.89% -1.07% -2.89% 1.89% 0.73% 1.89% 0.73% 14.15% 18.38% 14.15% 18.38% 7.22% 7.34% 7.22% 7.34% 1.10% 1.03% -
Fundamental Equity Fund (I)
LAVYXInception Date : 03/31/2003
$15.06 +$0.28 +1.89% -0.86% -0.86% 9.00% 7.50% 9.00% 7.50% 9.88% 8.43% 9.88% 8.43% 14.59% 17.78% 14.59% 17.78% 8.73% 9.13% 8.73% 9.13% 0.70% 0.70% -
Growth Leaders Fund (I)
LGLIXInception Date : 06/30/2011
$46.38 +$0.89 +1.96% -6.64% -6.64% 18.27% 6.34% 18.27% 6.34% 12.60% 5.56% 12.60% 5.56% 14.65% 16.99% 14.65% 16.99% 14.39% 13.64% 14.39% 13.64% 0.65% 0.65% -
Growth Opportunities Fund (I)
LMGYXInception Date : 12/09/1998
$30.12 +$0.95 +3.26% -3.74% -3.74% 11.73% -2.14% 11.73% -2.14% 6.14% -0.12% 6.14% -0.12% 8.06% 9.55% 8.06% 9.55% 8.12% 7.26% 8.12% 7.26% 0.90% 0.71% -
Micro Cap Growth Fund (I)
LMIYXInception Date : 07/09/1999
$19.07 +$0.43 +2.31% -12.48% -12.48% 7.21% -2.93% 7.21% -2.93% 4.22% -1.69% 4.22% -1.69% 10.90% 14.13% 10.90% 14.13% 10.39% 9.59% 10.39% 9.59% 1.13% 1.13% -
Mid Cap Stock Fund (I)
LMCYXInception Date : 05/03/1999
$31.63 +$0.67 +2.16% -5.04% -5.04% 1.87% -0.31% 1.87% -0.31% 7.17% 5.89% 7.17% 5.89% 13.37% 16.98% 13.37% 16.98% 6.26% 6.54% 6.26% 6.54% 0.77% 0.77% -
Small Cap Value Fund (I)
LRSYXInception Date : 12/30/1997
$18.79 +$0.42 +2.29% -10.40% -10.40% -1.17% -2.97% -1.17% -2.97% 4.30% 2.94% 4.30% 2.94% 11.60% 15.45% 11.60% 15.45% 4.94% 5.18% 4.94% 5.18% 0.96% 0.96% -
Value Opportunities Fund (I)
LVOYXInception Date : 12/30/2005
$18.62 +$0.33 +1.80% -7.78% -7.78% -0.05% -4.07% -0.05% -4.07% 4.16% 2.29% 4.16% 2.29% 10.52% 13.77% 10.52% 13.77% 6.28% 6.44% 6.28% 6.44% 0.94% 0.94% -

Global & International Equity

Emerging Markets Equity Fund (I)
EMILXInception Date : 03/11/2022
$16.70 +$0.37 +2.27% 7.46% 7.46% 11.44% 9.61% 11.44% 9.61% 5.83% 3.15% 5.83% 3.15% - - - - - - - - 5.77% 0.90% -
Global Equity Fund (I)
LGCYXInception Date : 01/19/2017
$17.21 +$0.31 +1.83% 3.36% 3.36% 12.10% 4.40% 12.10% 4.40% 11.93% 7.65% 11.93% 7.65% 14.99% 16.73% 14.99% 16.73% - - - - 1.47% 0.65% -
Health Care Fund (I)
LHCIXInception Date : 08/01/2019
$18.56 +$0.31 +1.70% -4.08% -4.08% 0.37% -5.92% 0.37% -5.92% 3.36% 0.24% 3.36% 0.24% 7.11% 9.35% 7.11% 9.35% - - - - 3.09% 0.78% -
International Equity Fund (I)
LICYXInception Date : 12/31/2003
$16.55 +$0.33 +2.03% 13.67% 13.67% 13.65% 6.17% 13.65% 6.17% 9.73% 5.99% 9.73% 5.99% 11.89% 12.60% 11.89% 12.60% 5.08% 5.10% 5.08% 5.10% 0.72% 0.72% -
International Growth Fund (I)
LIAGXInception Date : 06/28/2021
$14.99 +$0.38 +2.60% 8.78% 8.78% 9.78% 0.46% 9.78% 0.46% 7.52% 3.31% 7.52% 3.31% - - - - - - - - 9.12% 0.70% -
International Opportunities Fund (I)
LINYXInception Date : 12/30/1997
$20.66 +$0.27 +1.32% 11.86% 11.86% 11.92% 1.64% 11.92% 1.64% 6.49% 2.21% 6.49% 2.21% 9.90% 10.90% 9.90% 10.90% 4.48% 4.53% 4.48% 4.53% 1.00% 1.00% -
International Value Fund (I)
LAIDXInception Date : 06/30/2008
$9.12 +$0.12 +1.33% 15.34% 15.34% 17.54% 12.63% 17.54% 12.63% 10.98% 7.90% 10.98% 7.90% 13.66% 14.53% 13.66% 14.53% 4.26% 4.54% 4.26% 4.54% 0.74% 0.74% -

Multi-Asset

Multi-Asset Balanced Opportunity Fund (I)
LABYXInception Date : 10/19/2004
$12.22 +$0.11 +0.91% 0.45% 0.45% 10.24% 6.81% 10.24% 6.81% 7.11% 5.00% 7.11% 5.00% 9.83% 11.56% 9.83% 11.56% 6.07% 6.20% 6.07% 6.20% 0.98% 0.98% 0.82%
Multi-Asset Income Fund (I)
ISFYXInception Date : 06/30/2005
$15.95 +$0.06 +0.38% 1.43% 1.43% 9.39% 6.48% 9.39% 6.48% 5.19% 3.47% 5.19% 3.47% 7.13% 8.25% 7.13% 8.25% 4.66% 4.78% 4.66% 4.78% 0.94% 0.94% 0.77%

Fixed Income

Bond Debenture Fund (I)
LBNYXInception Date : 03/27/1998
$6.96 +$0.01 +0.14% 0.29% 0.29% 6.50% 5.72% 6.50% 5.72% 3.28% 2.40% 3.28% 2.40% 4.11% 5.05% 4.11% 5.05% 3.69% 3.76% 3.69% 3.76% 0.70% 0.70% 0.59%
Core Fixed Income Fund (I)
LCRYXInception Date : 03/16/1998
$9.18 -$0.05 -0.54% 2.18% 2.18% 8.19% 5.50% 8.19% 5.50% 1.94% 0.68% 1.94% 0.68% 0.04% 0.33% 0.04% 0.33% 1.61% 1.55% 1.61% 1.55% 0.36% 0.32% -
Core Plus Bond Fund (I)
LAPIXInception Date : 12/08/2015
$12.70 -$0.05 -0.39% 1.75% 1.75% 8.24% 6.05% 8.24% 6.05% 2.63% 1.44% 2.63% 1.44% 1.44% 1.94% 1.44% 1.94% - - - - 0.43% 0.43% -
Emerging Markets Bond (I)
LDMYXInception Date : 10/19/2004
$4.15 -$0.01 -0.24% 0.77% 0.77% 8.15% 7.09% 8.15% 7.09% 5.46% 3.60% 5.46% 3.60% 3.53% 4.27% 3.53% 4.27% 1.97% 2.28% 1.97% 2.28% 0.81% 0.81% -
Emerging Markets Corporate Debt Fund (I)
LCDIXInception Date : 12/31/2013
$13.19 -$0.02 -0.15% 1.41% 1.41% 7.35% 6.85% 7.35% 6.85% 4.93% 4.10% 4.93% 4.10% 3.75% 4.80% 3.75% 4.80% 3.41% 3.65% 3.41% 3.65% 1.55% 0.85% -
Floating Rate Fund (I)
LFRIXInception Date : 12/31/2007
$7.99 +$0.01 +0.13% 0.27% 0.27% 5.52% 6.62% 5.52% 6.62% 6.67% 6.70% 6.67% 6.70% 7.69% 8.37% 7.69% 8.37% 4.21% 4.33% 4.21% 4.33% 0.60% 0.60% -
High Yield Fund (I)
LAHYXInception Date : 05/03/1999
$6.24 +$0.01 +0.16% -0.24% -0.24% 6.91% 6.92% 6.91% 6.92% 4.21% 3.30% 4.21% 3.30% 5.78% 6.87% 5.78% 6.87% 4.07% 4.30% 4.07% 4.30% 0.73% 0.73% -
Income Fund (I)
LAUYXInception Date : 10/19/2004
$2.39 -$0.01 -0.42% 1.14% 1.14% 7.66% 5.87% 7.66% 5.87% 2.77% 1.59% 2.77% 1.59% 2.23% 3.45% 2.23% 3.45% 2.76% 2.83% 2.76% 2.83% 0.51% 0.51% -
Inflation Focused Fund (I)
LIFIXInception Date : 04/29/2011
$11.74 -$0.05 -0.42% 3.08% 3.08% 7.68% 7.15% 7.68% 7.15% 2.83% 2.71% 2.83% 2.71% 7.17% 8.20% 7.17% 8.20% 3.16% 3.26% 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% 1.45% 1.45% 6.75% 7.33% 6.75% 7.33% - - - - - - - - - - - - 1.30% 0.35% -
Short Duration Core Bond Fund (I)
LSCIXInception Date : 04/20/2017
$9.21 -$0.02 -0.22% 1.93% 1.93% 6.73% 5.95% 6.73% 5.95% 4.15% 3.75% 4.15% 3.75% 2.70% 2.97% 2.70% 2.97% - - - - 0.52% 0.40% -
Short Duration High Yield Fund (I)
LSYIXInception Date : 05/01/2020
$9.51 +$0.02 +0.21% -0.72% -0.72% 6.26% 7.28% 6.26% 7.28% 6.04% 5.80% 6.04% 5.80% 6.66% - 6.66% - - - - - 0.51% 0.45% -
Short Duration Income Fund (I)
LLDYXInception Date : 10/19/2004
$3.87 $0.00 0.00% 2.02% 2.02% 6.96% 6.12% 6.96% 6.12% 3.90% 3.40% 3.90% 3.40% 3.12% 3.50% 3.12% 3.50% 2.54% 2.51% 2.54% 2.51% 0.38% 0.38% -
Total Return Fund (I)
LTRYXInception Date : 12/14/1998
$8.67 -$0.04 -0.46% 1.83% 1.83% 8.05% 5.69% 8.05% 5.69% 2.08% 0.87% 2.08% 0.87% 0.68% 1.07% 0.68% 1.07% 1.82% 1.80% 1.82% 1.80% 0.46% 0.42% -
Ultra Short Bond Fund (I)
LUBYXInception Date : 10/17/2016
$10.02 $0.00 0.00% 1.53% 1.53% 5.80% 5.84% 5.80% 5.84% 4.87% 4.68% 4.87% 4.68% 3.02% 3.17% 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% 1.36% 1.36% 4.66% 4.74% 4.66% 4.74% 4.16% 4.05% 4.16% 4.05% 2.50% 2.43% 2.50% 2.43% 1.59% 1.55% 1.59% 1.55% 0.28% 0.28% -

Tax-Free Income

California Tax Free Fund (I)
CAILXInception Date : 01/31/2011
$9.78 -$0.01 -0.10% -2.06% -2.06% 1.23% 1.14% 1.23% 1.14% 2.01% 0.85% 2.01% 0.85% 1.18% 0.93% 1.18% 0.93% 2.08% 2.13% 2.08% 2.13% 0.57% 0.57% -
High Income Municipal Bond Fund (I)
HYMIXInception Date : 07/26/2010
$10.56 -$0.02 -0.19% -1.57% -1.57% 3.89% 4.28% 3.89% 4.28% 2.44% 1.53% 2.44% 1.53% 3.16% 2.69% 3.16% 2.69% 3.19% 3.34% 3.19% 3.34% 0.62% 0.56% -
Intermediate Tax Free Fund (I)
LAIIXInception Date : 01/31/2011
$10.04 -$0.01 -0.10% -0.46% -0.46% 2.48% 2.27% 2.48% 2.27% 2.57% 1.76% 2.57% 1.76% 1.84% 1.61% 1.84% 1.61% 2.02% 2.05% 2.02% 2.05% 0.51% 0.51% -
National Tax Free Fund (I)
LTNIXInception Date : 07/26/2010
$10.13 -$0.02 -0.20% -1.83% -1.83% 2.01% 1.92% 2.01% 1.92% 2.15% 1.15% 2.15% 1.15% 1.73% 1.39% 1.73% 1.39% 2.30% 2.36% 2.30% 2.36% 0.58% 0.49% -
New Jersey Tax Free Fund (I)
LINJXInception Date : 01/31/2011
$4.59 -$0.01 -0.22% -2.05% -2.05% 1.33% 0.92% 1.33% 0.92% 1.88% 0.84% 1.88% 0.84% 1.70% 1.26% 1.70% 1.26% 2.27% 2.28% 2.27% 2.28% 0.65% 0.62% -
New York Tax Free Fund (I)
NYLIXInception Date : 01/31/2011
$10.33 -$0.02 -0.19% -1.64% -1.64% 1.44% 0.97% 1.44% 0.97% 2.12% 1.06% 2.12% 1.06% 1.62% 1.16% 1.62% 1.16% 2.06% 2.07% 2.06% 2.07% 0.58% 0.58% -
$14.06 -$0.01 -0.07% 0.10% 0.10% 3.99% 4.41% 3.99% 4.41% 2.88% 2.28% 2.88% 2.28% 2.80% 2.60% 2.80% 2.60% - - - - 0.48% 0.45% -
Short Duration Tax Free Fund (I)
LISDXInception Date : 12/31/2008
$15.00 $0.00 0.00% 0.57% 0.57% 3.31% 3.30% 3.31% 3.30% 2.49% 2.14% 2.49% 2.14% 1.55% 1.46% 1.55% 1.46% 1.31% 1.32% 1.31% 1.32% 0.46% 0.45% -

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