Global Equity Fund
Effective November 1, 2021 the Lord Abbett Global Equity Research Fund changed its name to Lord Abbett Global Equity Fund. There was no change to the Fund's investment strategy.
Daily price w/o sales charge as of 12/26/2024
$16.98
$0.00
YTD Returns w/o sales charge as of 12/26/2024
19.98%
Overall Morningstar RatingsGlobal Large-Stock Blend
as of 11/30/2024
Morningstar rated the Lord Abbett Global Equity Fund class A share 3 and 4 stars among 316 and 302 Global Large-Stock Blend Funds for the overall rating and the 3 and 5 year periods ended 11/30/2024, respectively.
Summary
Summary
The Fund seeks long-term growth of capital by investing in stocks of both U.S. and non-U.S. companies.
Fund Basicsas of 11/29/2024
- Total Net Assets
- $80.58 M
- Inception Date
- 01/19/2017
- Dividend Frequency
- Annually
- Fund Gross Expense Ratio
- 2.55%
- Fund Net Expense Ratio
- 0.90%
- Number of Holdings
- 89
- Minimum Initial Investment
- $1,500+
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/18/2017 |
---|
w/o sales charge | 20.34% | 26.24% | 7.61% | 12.59% | - | 11.68% |
Lipper Category Avg. Global Multi-Cap Growth Fds | 20.78% | 28.25% | 2.91% | 10.92% | - | - |
MSCI All Country World Index - Net | 20.34% | 26.12% | 7.68% | 11.36% | - | 11.17% |
w/ sales charge | 13.40% | 19.01% | 5.51% | 11.27% | - | 10.84% |
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/18/2017 |
---|
w/o sales charge | 18.30% | 33.79% | 8.40% | 13.44% | - | 11.70% |
Lipper Category Avg. Global Multi-Cap Growth Fds | 16.81% | 32.10% | 2.79% | 11.71% | - | - |
MSCI All Country World Index - Net | 18.66% | 31.76% | 8.09% | 12.19% | - | 11.23% |
w/ sales charge | 11.47% | 26.13% | 6.29% | 12.11% | - | 10.84% |
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
INVESTMENT TEAM
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Performance
Performance
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/18/2017 |
---|
w/o sales charge | 20.34% | 26.24% | 7.61% | 12.59% | - | 11.68% |
Lipper Category Avg. Global Multi-Cap Growth Fds | 20.78% | 28.25% | 2.91% | 10.92% | - | - |
MSCI All Country World Index - Net | 20.34% | 26.12% | 7.68% | 11.36% | - | 11.17% |
w/ sales charge | 13.40% | 19.01% | 5.51% | 11.27% | - | 10.84% |
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
YTD | 1-YR | 3-YR | 5-YR | 10-YR | Since Inception 01/18/2017 |
---|
w/o sales charge | 18.30% | 33.79% | 8.40% | 13.44% | - | 11.70% |
Lipper Category Avg. Global Multi-Cap Growth Fds | 16.81% | 32.10% | 2.79% | 11.71% | - | - |
MSCI All Country World Index - Net | 18.66% | 31.76% | 8.09% | 12.19% | - | 11.23% |
w/ sales charge | 11.47% | 26.13% | 6.29% | 12.11% | - | 10.84% |
Fund Expense Ratio :
Gross 2.55%
Net 0.90%
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.
Year | Fund Returns | MSCI All Country World Index - Net |
---|
2023 | 23.21% | 22.20% |
2022 | -19.03% | -18.37% |
2021 | 17.91% | 18.54% |
2020 | 23.57% | 16.26% |
2019 | 26.22% | 26.60% |
2018 | -9.47% | -9.42% |
Year | Q1 | Q2 | Q3 | Q4 |
---|
2024 | 10.77% | 2.29% | 4.41% | - |
2023 | 6.79% | 5.39% | -3.21% | 13.10% |
2022 | -7.05% | -15.63% | -4.59% | 8.22% |
2021 | 4.69% | 7.36% | -2.80% | 7.93% |
2020 | -21.78% | 21.84% | 9.18% | 18.77% |
2019 | 12.87% | 2.46% | -0.09% | 9.23% |
2018 | 1.42% | -0.26% | 4.47% | -14.33% |
Performance is shown for each quarter and each calendar year. Past performance is no guarantee of future results.
NAV Historical Prices
Date | Net Asset Value |
---|
Portfolio
Portfolio
Countryas of 11/29/2024
Country | Assets |
---|
United States | 56.3% |
United Kingdom | 9.0% |
Japan | 5.6% |
Cash | 5.5% |
Taiwan | 3.9% |
France | 2.5% |
China | 2.3% |
Austria | 1.8% |
Spain | 1.5% |
Hong Kong | 1.4% |
Australia | 1.4% |
Canada | 1.4% |
Ireland | 1.2% |
Panama | 1.1% |
Germany | 0.9% |
Mexico | 0.8% |
Netherlands | 0.7% |
Cayman Islands | 0.7% |
India | 0.6% |
Denmark | 0.6% |
Switzerland | 0.4% |
Luxembourg | 0.3% |
Region classifications of countries are defined by Lord Abbett and may not be consistent with the S&P region definitions. Country classifications of securities held within the universe of S&P indexes are defined by S&P. Country classifications of securities held by the portfolio only, and not included within the universe of S&P indexes, are defined by Lord Abbett.
Region | Weighting | Fund Change from Previous Quarter |
---|---|---|
Americas | 0.2% | |
Europe ex-U.K. | 2.6% | |
Asia/Pacific | 1.5% | |
United Kingdom | 0.7% | |
Japan | 0.8% | |
Cash | 4.2% |
Regional Allocation source: Lord Abbett and Bloomberg. Sector Breakdown source: Wilshire. Region classifications of countries are defined by Lord Abbett and may not be consistent with the S&P region definitions. Country classifications of securities held within the universe of S&P indexes are defined by S&P. Country classifications of securities held by the portfolio only, and not included within the universe of S&P indexes, are defined by Lord Abbett.
Sector | Weighting | Fund Change from Previous Quarter |
---|
Sector | Weighting | Fund Change from Previous Quarter |
---|---|---|
Communication Services | 0.2% | |
Real Estate | 0.4% | |
Utilities | 0.2% | |
Consumer Discretionary | 1.2% | |
Consumer Staples | 0.1% | |
Energy | 0.2% | |
Financials | 1.1% | |
Health Care | 1.6% | |
Industrials | 0.5% | |
Information Technology | 1.0% | |
Materials | 0.2% |
Portfolio Details as of 11/29/2024
- Total Net Assets
- $80.58 M
To view definitions for the above Portfolio Details, Click here.
Holding | Sector | Assets |
---|
NVIDIA Corp | Information Technology | 5.5% |
Alphabet Inc | Communication Services | 4.3% |
Amazon.com Inc | Consumer Discretionary | 3.8% |
Meta Platforms Inc | Communication Services | 3.5% |
Microsoft Corp | Information Technology | 3.3% |
Taiwan Semiconductor Manufacturing Co Ltd | Information Technology | 2.7% |
East West Bancorp Inc | Financials | 2.3% |
Imperial Brands PLC | Consumer Staples | 2.2% |
Sompo Holdings Inc | Financials | 1.9% |
BAWAG Group AG | Financials | 1.8% |
Dividends & Cap Gains
Dividends & Cap Gains
Dividend Payments
Dividend Payments
- YTD Dividends Paidas of 12/26/2024
- $0.06930
- Dividend Frequency
- Annually
Record Date | Ex-Dividend Date | Reinvest & Payable Date | Dividend | Reinvest Price |
---|---|---|---|---|
12/16/2024 | 12/17/2024 | 12/17/2024 | $0.06930 | $17.08 |
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 |
---|---|---|
12/17/2025 | 12/18/2025 | 12/18/2025 |
Capital Gains Distributions
Record Date | Reinvest & Payable Date | Long-term | Short-term * | Total | Reinvest Price |
---|---|---|---|---|---|
12/16/2021 | 12/17/2021 | $0.9423 | $1.2338 | $2.1761 | $13.96 |
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 12/26/2024
Sales Charge | Dealer's Concession | Prices at Breakpoint | |
---|---|---|---|
Less than $50,000 | 5.75% | 5.00% | $18.02 |
$50,000 to $99,999 | 4.75% | 4.00% | $17.83 |
$100,000 to $249,999 | 3.95% | 3.25% | $17.68 |
$250,000 to $499,999 | 2.75% | 2.25% | $17.46 |
$500,000 to $999,999 | 1.95% | 1.75% | $17.32 |
$1,000,000 to $5,000,000 | 0.00% | 1.00% | $16.98 |
The 12b-1 trail commission is 0.15% (accrues immediately) for all fixed-income and municipal income funds.
Class A shares purchased without a sales charge (commissionable NAV) will be subject to a CDSC of 1% if they are redeemed before the first day of the month in which the one-year anniversary of the purchase falls.
EXPENSE RATIOas of 11/30/2024
Fund Gross Expense Ratio | 2.55% |
Fund Net Expense Ratio | 0.90% |
Expense ratio details, Click here.
The net expense ratio takes into account contractual fee waivers/expense reimbursements that currently are scheduled to remain in place through 02/28/2025. For periods when fees and expenses were waived and/or reimbursed, the Fund benefited by not bearing such expenses. Without such fee waivers/reimbursements, performance would have been lower.
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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Annual Tailored Shareholder Report
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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