Back to top
more

Lord Abbett Short Duration High Yield Fund Class A: (MF: LSYAX)

(NASDAQ Mutual Funds) As of Jul 23, 2025 08:00 PM ET

$9.81 USD

0.00 (NA)

Zacks MF Rank

This is our Mutual Fund rating system that serves as a timeliness indicator for Mutual Fund's over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

Zacks Mutual Fund Rank FAQ - Learn more about the Zacks Mutual Fund Rank
Zacks Mutual Fund Rank Home - All Zacks Rank resources in one place
Zacks Premium - The only way to get access to the Zacks Rank

1-Strong Buy of 5 1        

View All Zacks Mutual Fund Rank #1's

Latest Performance as of Jun 30, 2025

Total Return %* Percentile Rank Objective
YTD 3.31 71
3 months 3.07 54
6 months 3.31 71
1 Year 8.78 49
3 Year 9.62 22
5 Year 6.61 17
10 Year NA NA

* Annual for three years and beyond.

Zacks Premium Research for LSYAX

Zacks MF Rank

This is our Mutual Fund rating system that serves as a timeliness indicator for Mutual Fund's over the next 6 months:

Zacks Rank Definition
1 Strong Buy
2 Buy
3 Hold
4 Sell
5 Strong Sell

Zacks Mutual Fund Rank FAQ - Learn more about the Zacks Mutual Fund Rank
Zacks Mutual Fund Rank Home - All Zacks Rank resources in one place
Zacks Premium - The only way to get access to the Zacks Rank

Strong Buy 1
MF Report

Mutual Funds Research & Tools

Search Similar Mutual Funds

Research similar Mutual Funds with higher ranks and performance ratings.

Mutual Funds Comparison View (minimum of 2)

Mutual Funds Screener

Narrow down the universe of 18,000+ funds we rank with our robust, yet easy-to-use mutual fund screeners. Select from up to 50 different data points to find the mutual funds that best Screen meet your unique criteria.

Portfolio Statistics

% Unrealized Gain -2.57
% Yield 8.03
% SEC Yield 7.29
Net Assets (Mil $) 6/30/2025 852.90
% Turnover 6/30/2025 140.00

Risk

3 Year 5 Year 10 Year
Beta 0.51 0.57 NA
Alpha 5.88 5.81 0.00
R Squared 0.51 0.41 NA
Std. Dev. 5.25 5.56 NA
Sharpe 0.94 0.69 NA

Sector / Country Weightings

As of 6/30/2025 % of Portfolio
NA NA

Portfolio Holdings

Top Holdings (As of 4/30/2025) % of Portfolio Value (Mil$)
TOTAL*MISC BONDS 72.92 5,679.29
TOTAL*CASH 4.66 363.03
TOTAL*CONVERTIBLE BONDS 2.06 160.44
ONEMAIN FIN CORP 0.65 50.76
VISTAJET MALTA FIN PLC VI 0.57 44.53
NOVELIS CORP 0.54 42.27
PETSMART INC PETSMART FIN 0.54 42.08
BUCKEYE PARTNERS LP 0.54 41.75
AMC NETWORKS INC 0.49 38.06
HUSKY INJECTION MOLDING S 0.48 37.43

Stock Holding % of Net Assets

As Of 4/30/2025
Total Issues NA
Avg. P/E NA
Avg. P/Book NA
Avg. EPS Growth NA
Avg. Market Value (Mil $) NA

Composition

% of Portfolio
Stocks 0.07
Foreign Stocks 0.00
Cash 4.66
Bonds 93.60
Foreign Bonds 0.00
Preferred 0.00
Convertible 2.17
Other -0.50
Foreign Hedged 0.00

Style Analysis

% of Portfolio
Large Growth NA
Large Value NA
Small Growth NA
Small Value NA
Foreign Stock NA
Emerging Market NA
Precious Metal NA
Intermediate Bond NA
Foreign Bond NA
High Yield Bond NA