• w Sales Charge
  • w/o Sales Charge

Daily Prices & YTD Returns

(as of 05/13/2025)

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

Edit

You have 0 funds that you are tracking.

Being by selecting funds to create a personalized tracked fund list.

U.S. Equity

Affiliated Fund (R6)
LAFVXInception Date : 06/30/2015
$19.22 -$0.01 -0.05% 2.29% 2.29% 10.14% 7.08% 10.14% 7.08% 9.19% 7.39% 9.19% 7.39% 12.98% 15.66% 12.98% 15.66% 8.37% 8.62% 8.37% 8.62% 0.39% 0.39% -
Alpha Strategy Fund (R6)
ALFVXInception Date : 06/30/2015
$26.24 +$0.10 +0.38% -3.74% -3.74% 2.66% -3.64% 2.66% -3.64% 4.07% 0.67% 4.07% 0.67% 10.31% 13.17% 10.31% 13.17% 6.62% 6.50% 6.62% 6.50% 1.13% 1.03% -
Convertible Fund (R6)
LCFVXInception Date : 06/30/2015
$14.95 +$0.10 +0.67% 4.73% 4.73% 12.09% 7.36% 12.09% 7.36% 3.83% 0.12% 3.83% 0.12% 9.00% 10.84% 9.00% 10.84% 8.32% 8.24% 8.32% 8.24% 0.82% 0.82% -
Developing Growth Fund (R6)
LADVXInception Date : 06/30/2015
$27.28 +$0.13 +0.48% -9.04% -9.04% -1.16% -10.60% -1.16% -10.60% 1.45% -4.51% 1.45% -4.51% 4.98% 7.43% 4.98% 7.43% 6.85% 6.08% 6.85% 6.08% 0.59% 0.59% -
Dividend Growth Fund (R6)
LAMHXInception Date : 06/30/2015
$23.40 +$0.02 +0.09% 1.55% 1.55% 13.11% 8.24% 13.11% 8.24% 11.81% 9.16% 11.81% 9.16% 14.65% 17.21% 14.65% 17.21% 11.24% 11.29% 11.24% 11.29% 0.59% 0.59% -
Focused Growth Fund (R6)
LFGVXInception Date : 02/01/2019
$37.03 +$0.81 +2.24% -0.24% -0.24% 25.48% 11.41% 25.48% 11.41% 14.80% 7.27% 14.80% 7.27% 17.56% 19.60% 17.56% 19.60% - - - - 1.10% 0.70% -
Focused Large Cap Value Fund (R6)
LVFLXInception Date : 08/01/2019
$13.58 +$0.04 +0.30% 2.88% 2.88% 10.14% 6.96% 10.14% 6.96% 10.69% 8.12% 10.69% 8.12% 17.41% 21.24% 17.41% 21.24% - - - - 1.37% 0.69% -
Focused Small Cap Value Fund (R6)
LMVWXInception Date : 06/28/2019
$27.22 +$0.11 +0.41% -8.63% -8.63% -1.03% -2.88% -1.03% -2.88% 1.94% 0.77% 1.94% 0.77% 14.20% 18.44% 14.20% 18.44% 7.30% 7.41% 7.30% 7.41% 1.06% 0.99% -
Fundamental Equity Fund (R6)
LAVVXInception Date : 06/30/2015
$15.59 +$0.01 +0.06% 1.50% 1.50% 9.19% 7.55% 9.19% 7.55% 9.99% 8.52% 9.99% 8.52% 14.71% 17.85% 14.71% 17.85% 8.83% 9.23% 8.83% 9.23% 0.63% 0.63% -
Growth Leaders Fund (R6)
LGLVXInception Date : 06/30/2015
$49.36 +$1.01 +2.09% -1.58% -1.58% 18.34% 6.44% 18.34% 6.44% 12.67% 5.63% 12.67% 5.63% 14.72% 17.06% 14.72% 17.06% 14.47% 13.72% 14.47% 13.72% 0.59% 0.59% -
Growth Opportunities Fund (R6)
LGOVXInception Date : 06/30/2015
$32.42 +$0.81 +2.56% 2.37% 2.37% 11.78% -2.04% 11.78% -2.04% 6.22% -0.04% 6.22% -0.04% 8.14% 9.64% 8.14% 9.64% 8.22% 7.36% 8.22% 7.36% 0.78% 0.59% -
Mid Cap Stock Fund (R6)
LMCHXInception Date : 06/30/2015
$32.82 -$0.03 -0.09% -2.52% -2.52% 1.98% -0.22% 1.98% -0.22% 7.29% 5.98% 7.29% 5.98% 13.47% 17.08% 13.47% 17.08% 6.37% 6.64% 6.37% 6.64% 0.67% 0.67% -
Small Cap Value Fund (R6)
LRSVXInception Date : 06/30/2015
$19.66 +$0.11 +0.56% -7.40% -7.40% -1.11% -2.89% -1.11% -2.89% 4.38% 3.00% 4.38% 3.00% 11.67% 15.52% 11.67% 15.52% 5.03% 5.27% 5.03% 5.27% 0.88% 0.88% -
Value Opportunities Fund (R6)
LVOVXInception Date : 06/30/2015
$19.37 +$0.01 +0.05% -5.33% -5.33% 0.11% -3.98% 0.11% -3.98% 4.27% 2.40% 4.27% 2.40% 10.62% 13.88% 10.62% 13.88% 6.40% 6.54% 6.40% 6.54% 0.84% 0.84% -

Global & International Equity

Emerging Markets Equity Fund (R6)
EMWLXInception Date : 03/11/2022
$17.27 +$0.06 +0.35% 10.92% 10.92% 11.49% 9.73% 11.49% 9.73% 5.92% 3.24% 5.92% 3.24% - - - - - - - - 5.76% 0.89% -
Global Equity Fund (R6)
LGCWXInception Date : 01/19/2017
$17.80 +$0.14 +0.79% 6.59% 6.59% 12.28% 4.58% 12.28% 4.58% 12.03% 7.77% 12.03% 7.77% 15.09% 16.85% 15.09% 16.85% - - - - 1.34% 0.52% -
Health Care Fund (R6)
LHCVXInception Date : 08/01/2019
$17.67 -$0.34 -1.89% -9.06% -9.06% 0.53% -5.80% 0.53% -5.80% 3.51% 0.39% 3.51% 0.39% 7.23% 9.49% 7.23% 9.49% - - - - 2.99% 0.68% -
International Equity Fund (R6)
LICVXInception Date : 06/30/2015
$16.72 +$0.03 +0.18% 14.44% 14.44% 13.68% 6.22% 13.68% 6.22% 9.77% 6.06% 9.77% 6.06% 11.93% 12.65% 11.93% 12.65% 5.12% 5.14% 5.12% 5.14% 0.64% 0.64% -
International Growth Fund (R6)
LAVGXInception Date : 06/28/2021
$15.16 +$0.06 +0.40% 9.78% 9.78% 9.92% 0.46% 9.92% 0.46% 7.60% 3.37% 7.60% 3.37% - - - - - - - - 9.10% 0.68% -
International Opportunities Fund (R6)
LINVXInception Date : 06/30/2015
$21.17 +$0.16 +0.76% 13.63% 13.63% 12.04% 1.79% 12.04% 1.79% 6.57% 2.29% 6.57% 2.29% 9.98% 11.00% 9.98% 11.00% 4.57% 4.63% 4.57% 4.63% 0.92% 0.92% -
International Value Fund (R6)
LIRVXInception Date : 06/30/2015
$9.21 +$0.04 +0.44% 16.33% 16.33% 17.80% 12.75% 17.80% 12.75% 11.07% 7.95% 11.07% 7.95% 13.76% 14.57% 13.76% 14.57% 4.29% 4.56% 4.29% 4.56% 0.66% 0.66% -

Multi-Asset

Multi-Asset Balanced Opportunity Fund (R6)
BLAVXInception Date : 06/30/2015
$12.43 +$0.02 +0.16% 1.67% 1.67% 10.28% 6.86% 10.28% 6.86% 7.19% 5.05% 7.19% 5.05% 9.92% 11.65% 9.92% 11.65% 6.14% 6.27% 6.14% 6.27% 0.90% 0.90% 0.74%
Multi-Asset Income Fund (R6)
LIXVXInception Date : 06/30/2015
$16.13 +$0.02 +0.12% 2.12% 2.12% 9.42% 6.52% 9.42% 6.52% 5.26% 3.53% 5.26% 3.53% 7.20% 8.33% 7.20% 8.33% 4.71% 4.83% 4.71% 4.83% 0.88% 0.88% 0.71%

Fixed Income

Bond Debenture Fund (R6)
LBNVXInception Date : 06/30/2015
$7.00 +$0.02 +0.29% 1.08% 1.08% 6.75% 5.97% 6.75% 5.97% 3.38% 2.54% 3.38% 2.54% 4.19% 5.13% 4.19% 5.13% 3.78% 3.86% 3.78% 3.86% 0.62% 0.62% 0.51%
Core Fixed Income Fund (R6)
LCRVXInception Date : 06/30/2015
$9.12 -$0.01 -0.11% 1.66% 1.66% 8.23% 5.65% 8.23% 5.65% 1.96% 0.74% 1.96% 0.74% 0.07% 0.38% 0.07% 0.38% 1.67% 1.62% 1.67% 1.62% 0.30% 0.30% -
Core Plus Bond Fund (R6)
LAPWXInception Date : 12/08/2015
$12.65 $0.00 0.00% 1.46% 1.46% 8.32% 6.13% 8.32% 6.13% 2.71% 1.55% 2.71% 1.55% 1.55% 2.03% 1.55% 2.03% - - - - 0.36% 0.36% -
Emerging Markets Bond (R6)
LDMVXInception Date : 06/30/2015
$4.19 $0.00 0.00% 1.92% 1.92% 8.16% 7.35% 8.16% 7.35% 5.47% 3.69% 5.47% 3.69% 3.54% 4.33% 3.54% 4.33% 2.00% 2.34% 2.00% 2.34% 0.80% 0.80% -
Emerging Markets Corporate Debt Fund (R6)
LCDVXInception Date : 06/30/2015
$13.26 +$0.02 +0.15% 1.99% 1.99% 7.46% 7.04% 7.46% 7.04% 5.07% 4.27% 5.07% 4.27% 3.91% 4.97% 3.91% 4.97% 3.57% 3.82% 3.57% 3.82% 1.46% 0.76% -
Floating Rate Fund (R6)
LRRVXInception Date : 06/30/2015
$8.05 +$0.01 +0.12% 1.25% 1.25% 5.73% 6.69% 5.73% 6.69% 6.75% 6.81% 6.75% 6.81% 7.79% 8.46% 7.79% 8.46% 4.29% 4.41% 4.29% 4.41% 0.54% 0.54% -
High Yield Fund (R6)
LHYVXInception Date : 06/30/2015
$6.31 +$0.02 +0.32% 0.98% 0.98% 7.20% 7.20% 7.20% 7.20% 4.38% 3.47% 4.38% 3.47% 5.88% 7.01% 5.88% 7.01% 4.19% 4.42% 4.19% 4.42% 0.63% 0.63% -
Income Fund (R6)
LAUVXInception Date : 06/30/2015
$2.39 $0.00 0.00% 1.34% 1.34% 7.73% 5.94% 7.73% 5.94% 2.84% 1.66% 2.84% 1.66% 2.30% 3.53% 2.30% 3.53% 2.85% 2.93% 2.85% 2.93% 0.45% 0.45% -
Inflation Focused Fund (R6)
LIFVXInception Date : 06/30/2015
$11.73 +$0.02 +0.17% 3.26% 3.26% 7.86% 7.23% 7.86% 7.23% 2.91% 2.82% 2.91% 2.82% 7.27% 8.30% 7.27% 8.30% 3.27% 3.36% 3.27% 3.36% 0.52% 0.52% -
Investment Grade Floating Rate Fund (R6)
LGRUXInception Date : 05/04/2023
$10.21 +$0.01 +0.10% 1.75% 1.75% 6.80% 7.28% 6.80% 7.28% - - - - - - - - - - - - 1.29% 0.34% -
Short Duration Core Bond Fund (R6)
LDCVXInception Date : 04/20/2017
$9.19 $0.00 0.00% 1.89% 1.89% 6.94% 6.04% 6.94% 6.04% 4.27% 3.84% 4.27% 3.84% 2.80% 3.05% 2.80% 3.05% - - - - 0.43% 0.31% -
Short Duration High Yield Fund (R6)
LSYUXInception Date : 05/01/2020
$9.66 +$0.04 +0.42% 1.02% 1.02% 6.35% 7.48% 6.35% 7.48% 6.14% 5.93% 6.14% 5.93% 6.76% - 6.76% - - - - - 0.43% 0.37% -
Short Duration Income Fund (R6)
LDLVXInception Date : 06/30/2015
$3.87 $0.00 0.00% 2.22% 2.22% 7.04% 6.20% 7.04% 6.20% 3.98% 3.47% 3.98% 3.47% 3.19% 3.58% 3.19% 3.58% 2.62% 2.58% 2.62% 2.58% 0.32% 0.32% -
Total Return Fund (R6)
LTRHXInception Date : 06/30/2015
$8.62 $0.00 0.00% 1.53% 1.53% 8.11% 5.63% 8.11% 5.63% 2.13% 0.92% 2.13% 0.92% 0.74% 1.12% 0.74% 1.12% 1.88% 1.86% 1.88% 1.86% 0.36% 0.36% -
Ultra Short Bond Fund (R6)
LUBWXInception Date : 10/17/2016
$10.02 $0.00 0.00% 1.69% 1.69% 5.85% 5.89% 5.85% 5.89% 4.92% 4.73% 4.92% 4.73% 3.04% 3.20% 3.04% 3.20% - - - - 0.24% 0.24% -

Select funds to run a Morningstar Hypothetical Report.