LOOMIS SAYLES BOND FUND CLASS N(LSBNX) USD 11.54
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20231.06%USD 0.123USD0.04582023-03-28
USD0.03762023-02-27
USD0.03942023-01-30
20225.11%USD 0.59USD0.18812022-12-19
USD0.04132022-11-29
USD0.03892022-10-28
USD0.03522022-09-28
USD0.03842022-08-30
USD0.03632022-07-28
USD0.03992022-06-28
USD0.03362022-05-27
USD0.03412022-04-27
USD0.04252022-03-28
USD0.0312022-02-25
USD0.03062022-01-28
20213.47%USD 0.4USD0.03462021-12-17
USD0.03372021-11-29
USD0.03032021-10-28
USD0.03122021-09-28
USD0.03172021-08-30
USD0.0342021-07-29
USD0.03382021-06-28
USD0.03242021-05-27
USD0.03532021-04-26
USD0.03632021-03-26
USD0.02942021-02-25
USD0.03742021-01-28
20204.59%USD 0.529USD0.13622020-12-16
USD0.0352020-11-25
USD0.04842020-10-27
USD0.03782020-09-28
USD0.03612020-08-28
USD0.04292020-07-28
USD0.02382020-06-26
USD0.02772020-05-27
USD0.03542020-04-27
USD0.032020-03-27
USD0.03542020-02-27
USD0.04052020-01-29
20194.69%USD 0.541USD0.0822019-12-16
USD0.03552019-11-27
USD0.05032019-10-28
USD0.03352019-09-26
USD0.03672019-08-28
USD0.05092019-07-30
USD0.03422019-06-27
USD0.03812019-05-28
USD0.05022019-04-29
USD0.042019-03-28
USD0.03782019-02-27
USD0.05182019-01-30
20184.30%USD 0.496USD0.09062018-12-14
USD0.03972018-11-29
USD0.04662018-10-30
USD0.02812018-09-27
USD0.03272018-08-29
USD0.03712018-07-30
USD0.03262018-06-28
USD0.04092018-05-29
USD0.03972018-04-27
USD0.03372018-03-28
USD0.03172018-02-27
USD0.04292018-01-30
20177.07%USD 0.816USD0.44972017-12-15
USD0.03752017-11-28
USD0.04232017-10-27
USD0.03312017-09-26
USD0.03642017-08-28
USD0.03262017-07-27
USD0.02492017-06-27
USD0.03152017-05-30
USD0.02992017-04-27
USD0.02812017-03-28
USD0.03042017-02-27
USD0.03912017-01-30
20163.77%USD 0.435USD0.21832016-12-16
USD0.03832016-11-28
USD0.03962016-10-25
USD0.00442016-09-23
USD0.01112016-08-23
USD0.01682016-07-25
USD0.01582016-06-23
USD0.02292016-05-24
USD0.01542016-04-25
USD0.02142016-03-28
USD0.01432016-02-26
USD0.01652016-01-28
20158.32%USD 0.96USD0.61572015-12-17
USD0.02082015-11-24
USD0.02282015-10-26
USD0.02052015-09-24
USD0.03372015-08-24
USD0.03152015-07-24
USD0.03032015-06-23
USD0.0332015-05-22
USD0.03062015-04-23
USD0.02592015-03-25
USD0.04622015-02-25
USD0.04872015-01-28
20149.13%USD 1.054USD0.50482014-12-16
USD0.05422014-11-24
USD0.04942014-10-24
USD0.04612014-09-24
USD0.05022014-08-25
USD0.05212014-07-25
USD0.04852014-06-23
USD0.0542014-05-23
USD0.0472014-04-24
USD0.05112014-03-25
USD0.0482014-02-24
USD0.04842014-01-28
20136.73%USD 0.776USD0.18072013-12-16
USD0.05832013-11-26
USD0.05982013-10-28
USD0.05322013-09-25
USD0.06492013-08-27
USD0.0592013-07-26
USD0.05632013-06-25
USD0.06782013-05-28
USD0.05892013-04-25
USD0.05912013-03-26
USD0.05822013-02-25