LOOMIS SAYLES GLOBAL BOND FUND RETAIL CLASS(LSGLX) USD 13.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20214.86%USD 0.677USD0.67742021-12-17
20206.19%USD 0.863USD0.86262020-12-16
20191.02%USD 0.142USD0.14222019-12-16
20180.43%USD 0.059USD0.05942018-12-14
20170.31%USD 0.043USD0.03622017-12-15
USD0.00722017-01-30
20160.49%USD 0.069USD0.03162016-12-16
USD0.00952016-11-28
USD0.01482016-10-25
USD0.0132016-01-28
20150.12%USD 0.017USD0.0172015-11-30
20143.91%USD 0.545USD0.21742014-12-16
USD0.02892014-11-24
USD0.032014-10-24
USD0.01852014-09-24
USD0.03032014-08-25
USD0.03352014-07-25
USD0.03272014-06-23
USD0.03212014-05-23
USD0.03132014-04-24
USD0.03212014-03-25
USD0.02832014-02-24
USD0.02982014-01-28
20134.74%USD 0.66USD0.31312013-12-16
USD0.03272013-11-26
USD0.03652013-10-28
USD0.03022013-09-25
USD0.03232013-08-27
USD0.0312013-07-26
USD0.02782013-06-25
USD0.03392013-05-28
USD0.03082013-04-25
USD0.0312013-03-26
USD0.03182013-02-25
USD0.02872013-01-28
20123.01%USD 0.42USD0.04922012-12-17
USD0.03162012-11-20
USD0.03452012-10-22
USD0.01032012-09-21
USD0.03252012-08-23
USD0.02962012-07-23
USD0.0342012-06-22
USD0.0372012-05-23
USD0.04222012-04-23
USD0.04082012-03-23
USD0.04432012-02-22
USD0.03372012-01-23
20115.15%USD 0.717USD0.20382011-12-14
USD0.05092011-11-22
USD0.04842011-10-25
USD0.04642011-09-20
USD0.04572011-08-23
USD0.04322011-07-26
USD0.04442011-06-21
USD0.04612011-05-24
USD0.04722011-04-26
USD0.04982011-03-22
USD0.04662011-02-22
USD0.04472011-01-25
20104.10%USD 0.571USD0.16752010-12-09
USD0.04262010-11-23
USD0.04632010-10-26
USD0.04622010-09-21
USD0.0032010-08-24
USD0.0062010-07-27
USD0.02622010-06-22
USD0.04572010-05-26
USD0.04582010-04-27
USD0.04552010-03-23
USD0.04732010-02-23
USD0.04852010-01-26
20093.51%USD 0.489USD0.10042009-12-11
USD0.04942009-11-24
USD0.05262009-10-27
USD0.05052009-09-22
USD0.02342009-08-25
USD0.05492009-07-28
USD0.01162009-06-23
USD0.02892009-05-27
USD0.01352009-04-28
USD0.02752009-03-24
USD0.03272009-02-24
USD0.04322009-01-27
20087.57%USD 1.054USD0.4442008-12-12
USD0.06032008-11-25
USD0.0572008-10-28
USD0.05842008-09-23
USD0.05682008-08-26
USD0.06062008-07-29
USD0.05852008-06-24
USD0.05622008-05-27
USD0.05422008-04-28
USD0.05752008-03-25
USD0.052008-02-26
USD0.04072008-01-29
20074.85%USD 0.676USD0.16062007-12-14
USD0.05112007-11-27
USD0.05022007-10-30
USD0.05162007-09-25
USD0.04732007-08-28
USD0.31542007-07-24
20062.94%USD 0.41USD0.41022006-12-15
20055.23%USD 0.728USD0.72842005-12-16
20043.45%USD 0.481USD0.43072004-12-16
USD0.05042004-11-23
20034.22%USD 0.588USD0.58822003-12-23
20024.39%USD 0.611USD0.6112002-12-24
20004.10%USD 0.571USD0.5712000-12-05