Tri Sector High Income Bond Fund - Yen Non-Hedged Distribution Class A

Net Asset Value

CurrencyJPY
Total Net Asset 7,028,637,662.00
Outstanding Shares5,513,168,024.00
NAV Date2026-09-01
Net Asset Value 1.2749
Variation-0.21
Year High 1.323
Year Low 1.1396