SDHAX | Short Duration High Income Municipal Bond Fund Class A | Lord Abbett
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    Short Duration High Income Municipal Bond Fund

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    Summary

    Summary

    What is the Short Duration High Income Municipal Bond Fund?

    The Fund seeks to deliver a high level of income exempt from federal income tax by investing primarily in short duration high-yield municipal bonds.
     

    ATTRACTIVE INCOME

    Municipal bonds offer attractive taxable equivalent yields relative to taxable fixed income alternatives.

    LOWER DURATION

    Shorter maturity bonds have less interest rate sensitivity, and have historically demonstrated lower volatility than longer maturity bonds.

    PORTFOLIO DIVERSIFICATION

    Short high income municipals have historically had low correlation with other bond sectors, providing valuable diversification benefits to fixed income portfolios.

    Yield

    Average Yield to Worst as of 03/31/2025

    4.75%

    Distribution Yield as of 04/29/2025  

    4.13%

    30-Day Standardized Yield 1 as of 03/31/2025  

      Subsidized2 Un-Subsidized3
    w/o sales charge 3.88% 3.87%

    Fund Basicsas of 03/31/2025

    Total Net Assets
    $1.80 B
    Inception Date
    06/15/2015
    Dividend Frequency
    Monthly
    Fund Gross Expense Ratio
    0.68%
    Fund Net Expense Ratio
    0.65%
    Number of Holdings
    450
    Minimum Initial Investment
    $1,000+

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/15/2015
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 06/15/2015
    w/o sales charge 0.65% 4.20% 2.10% 2.41% -10000.0% 2.32%
    Lipper Category Avg. High Yield Municipal Debt Funds -0.12% 3.41% 1.40% 2.50% -10000.0% -10000.0%
    w/ sales charge -1.62% 1.83% 1.34% 1.94% -10000.0% 2.09%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/15/2015
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 06/15/2015
    w/o sales charge 0.65% 4.20% 2.10% 2.41% -10000.0% 2.32%
    Lipper Category Avg. High Yield Municipal Debt Funds -0.12% 3.41% 1.40% 2.50% -10000.0% -10000.0%
    w/ sales charge -1.62% 1.83% 1.34% 1.94% -10000.0% 2.09%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    Sector Assets
    IDR/PCR
    Healthcare/Hospital
    Special Tax
    Transportation
    Education
    Housing
    Other
    GO Local
    GO State
    VRDN
    Power
    Lease
    Water & Sewer
    Pre-Refunded
    Maturity Assets
    <1 Year
    1-5 Years
    5-10 Years
    10-15 Years
    15-20 Years
    20-25 Years
    25-30 Years
    >30 Years

    CREDIT QUALITY DISTRIBUTION as of 03/31/2025

    Rating Assets
    A-3/MIG3
    AAA
    AA
    A
    BBB
    BB
    B
    < B
    Not Rated

    INVESTMENT TEAM

    Daniel S. Solender
    Daniel S. Solender, CFA

    Partner, Director of Tax Free Fixed Income

    38 Years of Industry Experience

    Gregory M. Shuman
    Gregory M. Shuman, CFA

    Partner, Portfolio Manager

    14 Years of Industry Experience

    Supported By 15 Investment Professionals with 12 Years Avg. Industry Experience

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    Performance

    Performance

    Average Yield to Worst as of 03/31/2025

    4.75%

    Distribution Yield as of 04/29/2025  

    4.13%

    30-Day Standardized Yield 1 as of 03/31/2025  

      Subsidized2 Un-Subsidized3
    w/o sales charge 3.88% 3.87%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/15/2015
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 06/15/2015
    w/o sales charge 0.65% 4.20% 2.10% 2.41% -10000.0% 2.32%
    Lipper Category Avg. High Yield Municipal Debt Funds -0.12% 3.41% 1.40% 2.50% -10000.0% -10000.0%
    w/ sales charge -1.62% 1.83% 1.34% 1.94% -10000.0% 2.09%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    YTD 1-YR 3-YR 5-YR 10-YR Since Inception 06/15/2015
    YTD
    1-YR
    3-YR
    5-YR
    10-YR
    Since Inception 06/15/2015
    w/o sales charge 0.65% 4.20% 2.10% 2.41% -10000.0% 2.32%
    Lipper Category Avg. High Yield Municipal Debt Funds -0.12% 3.41% 1.40% 2.50% -10000.0% -10000.0%
    w/ sales charge -1.62% 1.83% 1.34% 1.94% -10000.0% 2.09%

    Fund Expense Ratio :

    Gross 0.68%

    Net 0.65%

    Year Fund Returns
    Year
    Fund Returns
    2024 5.15%
    2023 4.19%
    2022 -9.29%
    2021 4.08%
    2020 2.15%
    2019 7.05%
    2018 2.10%
    2017 5.30%
    2016 -0.20%
    Year Q1 Q2 Q3 Q4
    Year
    Q1
    Q2
    Q3
    Q4
    2025 0.65% -10000.0% -10000.0% -10000.0%
    2024 1.56% 1.14% 2.49% -0.13%
    2023 1.67% 0.56% -1.34% 3.29%
    2022 -6.04% -3.61% -2.17% 2.37%
    2021 1.47% 2.16% -0.20% 0.61%
    2020 -5.59% 3.04% 1.77% 3.18%
    2019 2.48% 1.98% 1.54% 0.88%
    2018 0.41% 0.81% 0.42% 0.45%
    2017 2.06% 1.75% 1.45% -0.05%
    2016 1.41% 1.90% 0.69% -4.08%

    Growth of $10,000 as of 03/31/2025

    NAV Historical Prices

    Date Net Asset Value

    Portfolio

    Portfolio

    Sector Assets
    IDR/PCR
    Healthcare/Hospital
    Special Tax
    Transportation
    Education
    Housing
    Other
    GO Local
    GO State
    VRDN
    Power
    Lease
    Water & Sewer
    Pre-Refunded
    Maturity Assets
    <1 Year
    1-5 Years
    5-10 Years
    10-15 Years
    15-20 Years
    20-25 Years
    25-30 Years
    >30 Years
    State Assets
    NY
    CA
    TX
    PA
    FL
    WI
    IL
    AL
    Puerto Rico
    GA
    OH
    IA
    NH
    WA
    OK
    NJ
    CO
    VA
    AZ
    MD
    UT
    Other U.S. Territories
    MA
    TN
    AR
    RI
    LA
    MO
    VT
    CT
    NV
    SC
    ID
    DE
    MN
    IN
    KS
    ME
    KY
    NE
    MS
    MI
    WV
    DC
    AS
    NC

    CREDIT QUALITY DISTRIBUTION as of 03/31/2025

    Rating Assets
    A-3/MIG3
    AAA
    AA
    A
    BBB
    BB
    B
    < B
    Not Rated

    Portfolio Positioningas of 12/31/2024

    • We continue to underweight callable bonds priced close to par to improve the performance characteristics of the Fund and positioning the portfolio to potentially have higher probabilities of performing better in a wide range of potential interest rate scenarios. Along the same lines, we have been mostly buying bonds with higher coupons and longer calls along with bonds trading at deep discounts to position in more favorable structures.

    • Although primarily invested in non-investment grade bonds, the Fund has an allocation to ‘A’ and ‘BBB’ rated bonds to provide diversification and enhance liquidity. We also believe that lower-rated investment grade bonds are showing attractive relative value in the current market environment.

    Portfolio Details as of 03/31/2025

    Total Net Assets
    $1.80 B
    Average Effective Duration
    4.06 Years
    Average Effective Maturity
    8.5 Years
    Number of Issues
    450
    Average Yield to Worst
    4.75%
    Distribution Yield (as of 04/29/2025)
    4.13%

    Dividends & Cap Gains

    Dividends & Cap Gains

    Dividend Payments

    For
    YTD Dividends Paidas of 04/29/2025
    $0.14354
    Dividend Frequency
    Monthly (Daily Accrual)
    Record Date Ex-Dividend Date Reinvest & Payable Date Dividend Reinvest Price
    Daily Daily 03/31/2025 $0.04829 $14.20
    Daily Daily 02/28/2025 $0.04773 $14.37
    Daily Daily 01/31/2025 $0.04752 $14.30

    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
    Daily Daily 04/30/2025
    Daily Daily 05/31/2025
    Daily Daily 06/30/2025
    Daily Daily 07/31/2025
    Daily Daily 08/31/2025
    Daily Daily 09/30/2025
    Daily Daily 10/31/2025
    Daily Daily 11/30/2025
    Daily Daily 12/31/2025

    Capital Gains Distributions

    For
    Record Date Reinvest & Payable Date Long-term Short-term * Total Reinvest Price
    12/19/2017 12/20/2017 $0.0023 - $0.0023 $15.14

    Fees & Expenses

    Fees & Expenses

    Sales Charge Schedule as of 04/29/2025

      Sales Charge Dealer's Concession Prices at Breakpoint
    Less than $100,000 2.25% 2.00% $14.35
    $100,000 to $249,999 1.75% 1.50% $14.28
    Greater than $250,000 0.00% 1.00% $14.03

    Expense Ratioas of 03/31/2025

    Fund Gross Expense Ratio 0.68%
    Fund Net Expense Ratio 0.65%

    Fund Documents

    Fund Documents

    0Documents selected
    Portfolio Holdings 1Q
    Publish Date:11/03/2015
    Portfolio Holdings 3Q
    Publish Date:11/03/2015
    Summary Prospectus
    Publish Date:11/03/2015
    Statutory Prospectus
    Publish Date:11/03/2015
    SAI
    Publish Date:11/03/2015
    Annual Tailored Shareholder Report
    Publish Date:11/03/2015
    Fact Sheet
    Publish Date:11/03/2015
    * includes items 7-11 of form N-CSR as required, if any.

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