Affiliated Fund
Daily price w/o sales charge as of 12/10/2024
$19.45
$0.11
YTD Returns w/o sales charge as of 12/10/2024
21.69%
Please click here for performance current to the most recent quarter-end and month-end.
Summary
Summary
Fund Basicsas of 11/29/2024
- Total Net Assets
- $6.50 B
- Inception Date
- 05/14/1934*
- Dividend Frequency
- Quarterly
- Fund Gross Expense Ratio
- 0.70%
- Fund Net Expense Ratio
- 0.70%
- Number of Holdings
- 71
- Minimum Initial Investment
- $1,000+
The Fund changed its investment strategy on 01/01/1950. Performance is calculated from this date. In addition, the Fund has amended its strategy on June 11, 2013.
Yield
12-Month Dividend Yield 1 as of 12/10/2024
w/o sales charge | 1.44% |
w/ sales charge | 1.36% |
30-Day Standardized Yield 2 as of 11/30/2024 |
1.00% |
In absence of the fee waiver, yields shown would have been lower. Yields for other share classes will vary.
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/01/1950 |
---|
w/o sales charge | 24.88% | 31.04% | 9.60% | 9.77% | 8.97% | 10.81% |
Lipper Category Avg. Equity Income Funds | 20.77% | 26.90% | 9.57% | 10.80% | 9.16% | - |
Russell 1000® Value Index | 22.76% | 29.56% | 10.39% | 10.84% | 9.32% | - |
w/ sales charge | 17.68% | 23.53% | 7.47% | 8.47% | 8.32% | 10.72% |
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/01/1950 |
---|
w/o sales charge | 17.24% | 30.21% | 8.86% | 9.24% | 8.83% | 10.74% |
Lipper Category Avg. Equity Income Funds | 16.09% | 27.25% | 9.18% | 10.73% | 9.22% | - |
Russell 1000® Value Index | 16.68% | 27.76% | 9.03% | 10.69% | 9.23% | - |
w/ sales charge | 10.48% | 22.72% | 6.72% | 7.96% | 8.19% | 10.66% |
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
Returns with sales charges reflect a maximum sales charge of 5.75%.
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 include the reinvestment of all distributions. Returns shown at net asset value do not reflect the current maximum sales charge, had the sales charge been included, returns 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 for future results.
The Fund changed its investment strategy on 01/01/1950. Performance is calculated from this date.
TEN LARGEST HOLDINGS as of 10/31/2024View Portfolio
Holding | Assets |
---|---|
JPMorgan Chase & Co | 3.7% |
Exxon Mobil Corp | 3.4% |
UnitedHealth Group Inc | 3.3% |
Philip Morris International Inc | 3.1% |
Walmart Inc | 3.0% |
NextEra Energy Inc 6.926% 09/01/2025 | 2.9% |
Taiwan Semiconductor Manufacturing Co Ltd | 2.9% |
CRH PLC | 2.5% |
Entergy Corp | 2.5% |
AbbVie Inc | 2.4% |
Aggregate holdings are updated monthly, 30 days after month end. Aggregate holdings are presented to illustrate examples of the securities that the Fund has bought and the diversity of the areas in which the Fund may invest, and may not be representative of the Fund's current or future investments. The figures presented are as of the date shown and may change at any time.
Sector Allocationas of 11/29/2024View Portfolio
Sector | Weighting |
---|
Sector | Weighting |
---|---|
Communication Services | |
Real Estate | |
Utilities | |
Consumer Discretionary | |
Consumer Staples | |
Energy | |
Financials | |
Health Care | |
Industrials | |
Information Technology | |
Materials |
INVESTMENT TEAM
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Performance
Performance
12-Month Dividend Yield 1 as of 12/10/2024
w/o sales charge | 1.44% |
w/ sales charge | 1.36% |
30-Day Standardized Yield 2 as of 11/30/2024
Subsidized3 | Un-Subsidized4 | |
---|---|---|
w/o sales charge | 1.00% | 1.00% |
In absence of the fee waiver, yields shown would have been lower. Yields for other share classes will vary.
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/01/1950 |
---|
w/o sales charge | 24.88% | 31.04% | 9.60% | 9.77% | 8.97% | 10.81% |
Lipper Category Avg. Equity Income Funds | 20.77% | 26.90% | 9.57% | 10.80% | 9.16% | - |
Russell 1000® Value Index | 22.76% | 29.56% | 10.39% | 10.84% | 9.32% | - |
w/ sales charge | 17.68% | 23.53% | 7.47% | 8.47% | 8.32% | 10.72% |
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/01/1950 |
---|
w/o sales charge | 17.24% | 30.21% | 8.86% | 9.24% | 8.83% | 10.74% |
Lipper Category Avg. Equity Income Funds | 16.09% | 27.25% | 9.18% | 10.73% | 9.22% | - |
Russell 1000® Value Index | 16.68% | 27.76% | 9.03% | 10.69% | 9.23% | - |
w/ sales charge | 10.48% | 22.72% | 6.72% | 7.96% | 8.19% | 10.66% |
Fund Expense Ratio :
Gross 0.70%
Net 0.70%
Returns with sales charges reflect a maximum sales charge of 5.75%.
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 include the reinvestment of all distributions. Returns shown at net asset value do not reflect the current maximum sales charge, had the sales charge been included, returns 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 for future results.
The Fund changed its investment strategy on 01/01/1950. Performance is calculated from this date.
Year | Fund Returns | Russell 1000® Value Index |
---|
2023 | 10.49% | 11.46% |
2022 | -9.85% | -7.54% |
2021 | 26.75% | 25.16% |
2020 | -1.27% | 2.80% |
2019 | 25.24% | 26.54% |
2018 | -7.46% | -8.27% |
2017 | 16.12% | 13.66% |
2016 | 17.34% | 17.34% |
2015 | -4.20% | -3.83% |
2014 | 12.07% | 13.45% |
2013 | 32.15% | - |
2012 | 15.90% | - |
2011 | -7.84% | - |
2010 | 14.30% | - |
2009 | 19.39% | - |
2008 | -37.13% | - |
2007 | 3.66% | - |
2006 | 17.61% | - |
2005 | 3.33% | - |
2004 | 12.60% | - |
Year | Q1 | Q2 | Q3 | Q4 |
---|
2024 | 10.31% | -1.01% | 7.36% | - |
2023 | -2.67% | 3.95% | -1.68% | 11.06% |
2022 | -4.39% | -11.89% | -4.11% | 11.61% |
2021 | 8.73% | 5.63% | -0.10% | 10.46% |
2020 | -27.92% | 15.58% | 5.25% | 12.61% |
2019 | 10.53% | 3.81% | 2.51% | 6.47% |
2018 | -2.39% | 0.50% | 6.53% | -11.45% |
2017 | 4.16% | 2.00% | 3.05% | 6.06% |
2016 | 2.52% | 3.15% | 3.70% | 6.99% |
2015 | 0.35% | -1.23% | -7.57% | 4.57% |
2014 | 2.29% | 3.99% | -0.12% | 5.48% |
2013 | 10.88% | 3.84% | 4.49% | 9.84% |
2012 | 12.61% | -4.77% | 6.68% | 1.30% |
2011 | 5.67% | -2.77% | -20.73% | 13.17% |
2010 | 6.69% | -14.37% | 10.35% | 13.36% |
2009 | -16.43% | 18.76% | 16.22% | 3.51% |
2008 | -9.69% | -6.07% | -6.72% | -20.56% |
2007 | 0.36% | 5.10% | 1.90% | -3.56% |
2006 | 5.88% | -0.47% | 5.85% | 5.44% |
2005 | -2.61% | -0.49% | 4.22% | 2.30% |
2004 | 2.47% | 1.10% | -1.93% | 10.82% |
2003 | -5.46% | 18.25% | 2.90% | 13.78% |
2002 | 3.15% | -10.96% | -19.74% | 10.16% |
2001 | -9.47% | 5.32% | -13.97% | 12.22% |
2000 | 1.59% | -3.13% | 8.61% | 7.82% |
1999 | 2.72% | 10.79% | -6.67% | 10.04% |
1998 | 10.75% | -0.26% | -11.55% | 17.10% |
1997 | 3.05% | 13.38% | 7.12% | 0.01% |
1996 | 5.48% | 0.87% | 3.91% | 8.59% |
1995 | 8.27% | 7.30% | 6.95% | 6.00% |
1994 | -3.48% | 1.45% | 6.09% | 0.18% |
1993 | 5.46% | 0.93% | 4.26% | 2.01% |
1992 | -0.50% | 4.48% | 2.81% | 5.16% |
1991 | 9.50% | -0.41% | 6.25% | 5.29% |
1990 | -1.70% | 1.65% | -12.52% | 8.41% |
1989 | 3.79% | 6.94% | 7.96% | 3.09% |
1988 | 3.23% | 8.29% | -1.48% | 2.42% |
1987 | 16.69% | 4.94% | 5.68% | -20.26% |
1986 | 16.15% | 3.65% | -3.96% | 6.33% |
1985 | 6.25% | 8.55% | -4.81% | 15.57% |
1984 | -3.91% | -3.92% | 10.21% | 5.00% |
1983 | 9.35% | 7.44% | 3.82% | 2.91% |
1982 | -4.66% | -0.45% | 9.76% | 18.99% |
1981 | 6.42% | -1.17% | -9.99% | 5.99% |
1980 | -5.50% | 13.53% | 8.08% | 7.35% |
1979 | 11.53% | 3.31% | 10.26% | 1.83% |
1978 | -4.28% | 6.83% | 8.64% | -6.63% |
1977 | -3.89% | 3.00% | -6.81% | 1.18% |
1976 | 18.64% | 6.11% | 1.12% | 5.79% |
1975 | 23.87% | 17.67% | -7.35% | 5.02% |
1974 | 1.24% | -9.11% | -16.45% | 9.29% |
1973 | -6.88% | -7.04% | 15.23% | -5.49% |
1972 | 5.04% | -3.65% | 3.51% | 7.49% |
1971 | 9.60% | 0.10% | -2.99% | 2.40% |
1970 | -1.66% | -16.57% | 14.95% | 8.95% |
1969 | -1.74% | -6.16% | -6.47% | -1.19% |
1968 | -5.70% | 12.37% | 6.90% | 4.73% |
1967 | 12.00% | 2.18% | 7.49% | 0.65% |
1966 | -1.24% | -3.16% | -8.07% | 6.79% |
1965 | 3.16% | -3.69% | 8.46% | 4.33% |
1964 | 6.16% | 4.43% | 4.96% | 0.26% |
1963 | 7.53% | 3.71% | 3.50% | 3.17% |
1962 | -2.79% | -17.81% | 2.65% | 12.18% |
1961 | 13.99% | 0.36% | 4.14% | 5.48% |
1960 | -4.30% | 4.10% | -3.30% | 9.86% |
1959 | 4.20% | 4.46% | -2.25% | 6.11% |
1958 | 10.53% | 8.61% | 9.14% | 9.76% |
1957 | 0.87% | 3.46% | -3.62% | -0.81% |
1956 | 4.58% | 0.32% | -2.98% | 3.34% |
1955 | 3.31% | 4.21% | -0.01% | 4.48% |
1954 | 6.85% | 5.12% | 6.62% | 10.29% |
1953 | 0.59% | -4.04% | -0.66% | 6.28% |
1952 | 3.99% | 1.68% | -2.27% | 10.16% |
1951 | 4.51% | -0.89% | 2.11% | 10.89% |
Performance is shown for each quarter and each calendar year. Past performance is no guarantee of future results.
Growth of $10,000 as of 11/30/2024
The chart begins on the Fund's inception date of 01/01/1950.
Based on a hypothetical Class A share investment of $10,000 on 01/01/1950 without sales charge and includes the reinvestment of all distributions.
NAV HISTORICAL PRICES
Date | Net Asset Value |
---|
Portfolio
Portfolio
Holding | Sector | Assets |
---|
JPMorgan Chase & Co | Financials | 3.7% |
Exxon Mobil Corp | Energy | 3.4% |
UnitedHealth Group Inc | Health Care | 3.3% |
Philip Morris International Inc | Consumer Staples | 3.1% |
Walmart Inc | Consumer Staples | 3.0% |
NextEra Energy Inc 6.926% 09/01/2025 | Utilities | 2.9% |
Taiwan Semiconductor Manufacturing Co Ltd | Information Technology | 2.9% |
CRH PLC | Materials | 2.5% |
Entergy Corp | Utilities | 2.5% |
AbbVie Inc | Health Care | 2.4% |
Aggregate holdings are updated monthly, 30 days after month end. Aggregate holdings are presented to illustrate examples of the securities that the Fund has bought and the diversity of the areas in which the Fund may invest, and may not be representative of the Fund's current or future investments. The figures presented are as of the date shown and may change at any time.
Holding | Sector | Assets |
---|
JPMorgan Chase & Co | Financials | 3.7% |
Exxon Mobil Corp | Energy | 3.4% |
UnitedHealth Group Inc | Health Care | 3.3% |
Philip Morris International Inc | Consumer Staples | 3.1% |
Walmart Inc | Consumer Staples | 3.0% |
NextEra Energy Inc | Utilities | 2.9% |
Taiwan Semiconductor Manufacturing Co Ltd | Information Technology | 2.9% |
CRH PLC | Materials | 2.5% |
Entergy Corp | Utilities | 2.5% |
AbbVie Inc | Health Care | 2.4% |
Charles Schwab Corp/The | Financials | 2.2% |
Broadcom Inc | Information Technology | 2.2% |
Parker-Hannifin Corp | Industrials | 2.1% |
Bank of America Corp | Financials | 2.0% |
Kinder Morgan Inc | Energy | 2.0% |
Marsh & McLennan Cos Inc | Financials | 1.9% |
Abbott Laboratories | Health Care | 1.9% |
United Rentals Inc | Industrials | 1.8% |
Manulife Financial Corp | Financials | 1.8% |
Alphabet Inc | Communication Services | 1.8% |
S&P Global Inc | Financials | 1.8% |
Blackrock Inc | Financials | 1.7% |
Danaher Corp | Health Care | 1.7% |
Linde PLC | Materials | 1.7% |
Ferguson Enterprises Inc | Industrials | 1.6% |
Analog Devices Inc | Information Technology | 1.6% |
Chubb Ltd | Financials | 1.6% |
Wells Fargo & Co | Financials | 1.6% |
Northrop Grumman Corp | Industrials | 1.6% |
Shell PLC | Energy | 1.6% |
AerCap Holdings NV | Industrials | 1.5% |
East West Bancorp Inc | Financials | 1.4% |
Emerson Electric Co | Industrials | 1.4% |
Waste Management Inc | Industrials | 1.4% |
Roper Technologies Inc | Information Technology | 1.4% |
Meta Platforms Inc | Communication Services | 1.4% |
Lowe's Cos Inc | Consumer Discretionary | 1.4% |
Ross Stores Inc | Consumer Discretionary | 1.4% |
Allegion plc | Industrials | 1.4% |
Ameriprise Financial Inc | Financials | 1.3% |
Morgan Stanley | Financials | 1.2% |
Evercore Inc | Financials | 1.2% |
Eaton Corp PLC | Industrials | 1.2% |
General Motors Co | Consumer Discretionary | 1.1% |
Coca-Cola Co/The | Consumer Staples | 1.0% |
Eli Lilly & Co | Health Care | 0.9% |
Pool Corp | Consumer Discretionary | 0.9% |
Microsoft Corp | Information Technology | 0.9% |
General Electric Co | Industrials | 0.8% |
PulteGroup Inc | Consumer Discretionary | 0.7% |
Union Pacific Corp | Industrials | 0.7% |
Target Corp | Consumer Staples | 0.7% |
Steel Dynamics Inc | Materials | 0.7% |
Cboe Global Markets Inc | Financials | 0.7% |
Accenture PLC | Information Technology | 0.6% |
Procter & Gamble Co/The | Consumer Staples | 0.6% |
Blackstone Inc | Financials | 0.6% |
Reliance Inc | Materials | 0.5% |
Stanley Black & Decker Inc | Industrials | 0.5% |
Costco Wholesale Corp | Consumer Staples | 0.5% |
BHP Group Ltd | Materials | 0.5% |
Labcorp Holdings Inc | Health Care | 0.5% |
McDonald's Corp | Consumer Discretionary | 0.4% |
Lam Research Corp | Information Technology | 0.3% |
Marathon Petroleum Corp | Energy | 0.3% |
Expand Energy Corp | Energy | 0.3% |
McKesson Corp | Health Care | 0.3% |
Aggregate holdings are updated monthly, 30 days after month end. Aggregate holdings are presented to illustrate examples of the securities that the Fund has bought and the diversity of the areas in which the Fund may invest, and may not be representative of the Fund's current or future investments. The figures presented are as of the date shown and may change at any time.
Sector Allocationas of 11/29/2024
Sector | Weighting | Fund Change from Previous Quarter |
---|
Sector | Weighting | Fund Change from Previous Quarter |
---|---|---|
Communication Services | 0.9% | |
Real Estate | 0.0% | |
Utilities | 0.8% | |
Consumer Discretionary | 0.2% | |
Consumer Staples | 0.0% | |
Energy | 0.1% | |
Financials | 2.5% | |
Health Care | 2.8% | |
Industrials | 3.6% | |
Information Technology | 1.9% | |
Materials | 0.2% |
PORTFOLIO DETAILS as of 11/29/2024
- Total Net Assets
- $6.50 B
- Number of Holdings
- 71
- Weighted Average Market Cap.
- 299.8 B
- P/B Ratio
- 3.5x
- P/E Ratio
- 23.6x
To view definitions for the above Portfolio Details, Click here.
Weighted Average Market Cap - The average market capitalization of all companies held in the portfolio with each company weighted according to its percent held in the portfolio. The result is based upon a weighted average of the securities held in the fund.
P/B Ratio - A ratio that helps determine whether a stock is undervalued or overvalued. It is calculated by dividing a stock's price per share by its book value per share. The result is based upon a weighted average of the securities held in the fund.
P/E Ratio - Is the weighted average of each holding's P/E ratio (price of a stock divided by its earnings per share). The result is based upon a weighted average of the securities held in the fund.
Portfolio Turnover - This is a measure of the Fund’s trading activity which is computed by taking the lesser of purchases or sales divided by average monthly market value, excluding short-term investments. The resulting percentage represents the percentage of the portfolio’s holdings that have changed over the past year.
Contributors & Detractors as of 09/30/2024
Contributors
Holding | Contribution |
---|---|
Philip Morris International Inc. | 0.5% |
CRH public limited company | 0.5% |
Walmart Inc. | 0.5% |
Parker-Hannifin Corporation | 0.5% |
Entergy Corporation | 0.4% |
Detractors
Holding | Contribution |
---|---|
Lam Research Corporation | -0.3% |
Charles Schwab Corp | -0.3% |
Dollar General Corporation | -0.2% |
Alphabet Inc. Class A | -0.2% |
Shell Plc Sponsored ADR | -0.1% |
% Contribution reflects the effect of the individual stock's performance on the Fund's overall performance for the period. Individual holdings and their effect on Fund performance may change significantly over time. Investors should consider the overall performance of the Fund before making a decision on whether or not to invest in the Fund.
Attribution Analysis
Affiliated Fund | Benchmark | Variance | ||||
---|---|---|---|---|---|---|
Sector | Avg. Weight | Avg. Weight | Base Return | Stock Selection | Group Weight | Total |
The total base return displayed for the Fund does not capture daily cash flow and trading activity and therefore is subject to reasonable variance from the Fund's actual return. Please refer to Lord Abbett Affiliated Fund Performance Results for the Fund's longer-term returns. The Fund is actively managed and portfolio characteristics, such as individual holdings and sector weightings, may change significantly over time.
Source: Wilshire Attribution Software. GICS sector classification; non-GICS securities classified by Lord Abbett. Sectors may include many industries.
Source: Wilshire Attribution Software. GICS sector classification; non-GICS securities classified by Lord Abbett. Sectors may include many industries.
Dividends & Cap Gains
Dividends & Cap Gains
Dividend Payments
- YTD Dividends Paidas of 12/10/2024
- $0.20380
- Dividend Frequency
- Quarterly
Record Date | Ex-Dividend Date | Reinvest & Payable Date | Dividend | Reinvest Price |
---|---|---|---|---|
09/24/2024 | 09/25/2024 | 09/25/2024 | $0.06390 | $19.39 |
06/26/2024 | 06/27/2024 | 06/27/2024 | $0.07270 | $18.18 |
03/26/2024 | 03/27/2024 | 03/27/2024 | $0.06720 | $18.46 |
Upcoming Dividend Payment Dates
This section lists all anticipated income and Capital Gain distribution dates and any actual distributions are subject to adequacy of earnings and must be approved by the Board of Directors/Trustees. Please note that dates are subject to change.
Record Date | Ex-Dividend Date | Reinvest & Payable Date |
---|---|---|
12/26/2024 | 12/27/2024 | 12/27/2024 |
Capital Gains Distributions
Record Date | Reinvest & Payable Date | Long-term | Short-term * | Total | Reinvest Price |
---|---|---|---|---|---|
11/25/2024 | 11/26/2024 | $0.8524 | - | $0.8524 | $19.94 |
Taxed as ordinary income
Lord Abbett does not provide tax advice. It is strongly recommended that you discuss the impact of dividends and distributions with your tax advisor.
Fees & Expenses
Fees & Expenses
Sales Charge Schedule as of 12/10/2024
Sales Charge | Dealer's Concession | Prices at Breakpoint | |
---|---|---|---|
Less than $50,000 | 5.75% | 5.00% | $20.64 |
$50,000 to $99,999 | 4.75% | 4.00% | $20.42 |
$100,000 to $249,999 | 3.95% | 3.25% | $20.25 |
$250,000 to $499,999 | 2.75% | 2.25% | $20.00 |
$500,000 to $999,999 | 1.95% | 1.75% | $19.84 |
$1,000,000 to $5,000,000 | 0.00% | 1.00% | $19.45 |
EXPENSE RATIOas of 11/30/2024
Fund Gross Expense Ratio | 0.70% |
Fund Net Expense Ratio | 0.70% |
Fund Documents
Fund Documents
0Documents selected
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Portfolio Holdings 1Q
Publish Date:11/03/2015
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Portfolio Holdings 3Q
Publish Date:11/03/2015
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Summary Prospectus
Publish Date:11/03/2015
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Statutory Prospectus
Publish Date:11/03/2015
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SAI
Publish Date:11/03/2015
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Annual Financial Statements and Other Information *
Publish Date:11/03/2015
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Semi-Annual Financial Statements and Other Information *
Publish Date:11/03/2015
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Fact Sheet
Publish Date:11/03/2015
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