• Prev. Nav 9/4/08 10.31  
    Current Offer 10.30  
    YTD Return 7/31/08
    0.30%  
    Total Assets
    39.9 M  
    52-Wk Low 10.17
    52-Wk High 10.58  
    Range 0.41  
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            • Related Information: LTRBX

              Fund Profile: LTRBX

              The investment seeks income and capital appreciation to produce a high total return.

              The fund invests primarily in the following fixed income securities: U.S. Government securities; mortgage-related securities; investment grade debt securities, including those issued by non-U.S. entities but denominated in U.S. dollars; high-yield debt securities; and securities issued by non-U.S. entities and denominated in currencies other than the U.S. dollar. Investments in high-yield debt and non-U.S. debt denominated in foreign currencies are each limited to 20% of the Fund's net assets.

              • Fund Manager:
                Robert A. Lee , since 4/1/06
              • Fund Inception:
                8/31/00
              • Fund Ratings & Risk:
                View Morningstar Analysis
              • Composition:
                STOCK (0.85%), BONDS (97.03%), CASH (0.53%), OTHER (1.59%)

              Top Fund Holdings: LTRBX

              Name % of Total Fund Assets
              FHLMC 5 () 5.88 %
              FNMA 5.5 () 3.69 %
              FHLMC 5.5 () 1.9 %
              FHLMC 5 () 1.62 %
              FNMA 5.5 () 1.47 %
              View All Holdings