|Net Assets||5.22 Bil|
- Last NAV update 12/11/2013 4:00 PM ET
|The investment seeks high current income with a secondary objective of capital growth. The fund normally invests all of its assets in income producing securities with a focus on U.S. corporate bonds, convertible securities, foreign debt instruments, including those in emerging markets and related foreign currency transactions, and U.S. government securities. It may invest up to 35% of its assets in preferred stocks and dividend-paying common stocks. The fund is not limited in the percentage of its assets that it may invest in these instruments.|
- Year to date performance as of 12/11/2013 12:00 AM ET
|Fund Family||Natixis Funds|
|Fund Manager||Daniel Fuss|
|Minimum Initial Purchase||100,000.00|
|Minimum IRA Investment||0.00|
- * Annualized returns
- Performance as of 12/11/2013 12:00 AM ET
|Net Assets||5.22 Bil||621.13 Mil|
|Avg Market Cap||45.29 Bil||37.08 Bil|
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