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The content on this website is intended for institutional and professional investors in the United States only and is not suitable for individual investors or non-U.S. entities. Institutional and professional investors include pension funds, investment companies registered under the Investment Company Act of 1940, financial intermediaries, consultants, endowments and foundations, and investment advisors registered under the Investment Advisors Act of 1940.

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Thornburg Limited Term Income Fund

Morningstar Rating  • Info

Overall Morningstar Rating among 516 Short-Term Bond funds, based on risk-adjusted returns for class R3 shares, using a weighted average of the funds three-, five-, and ten-year ratings: respectively, 2 stars, 2 stars and 3 stars among 516, 486 and 367 funds, as of 31 Oct 2024.

As of 31 Oct 2024
Fund Assets
$6.4 B
As of 30 Sep 2024
NAV
$12.91
As of 12 Nov 2024
Change
$-0.05
As of 12 Nov 2024
YTD NAV Performance
3.80%
As of 12 Nov 2024
Asset Category:
Global Fixed Income
Fund Benchmark:
Bloomberg Intermediate U.S. Government/Credit Index

Portfolio Managers

Portfolio Manager and Managing Director
Head of Fixed Income and Managing Director

Consistent Outperformance vs. Peers

The fund has navigated interest rate cycles and market volatility while delivering income and consistent total return over time versus peers. THIIX also has a history of providing:

  • Core Bond Like Returns with Less Volatility
  • Superior Risk-Adjust Returns
  • Consistent Outperformance versus Peers

To learn more, download our client-approved brochure or continue to explore the rest of the page.

Download Now

Performance data shown represents past performance and is no guarantee of future results. Investment return and principal value will fluctuate so shares, when redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than quoted. For performance current to the most recent month end, visit thornburg.com or call 877-215-1330. Class I shares may not be available to all investors. Minimum investments for the I share class may be higher than those for other classes.

LTI Batting Average-3Q24
Overview

Overview

 

Why Invest in This Fund?

 

  • Flexible, active high-quality portfolio that consists primarily of U.S short- and intermediate-term investment grade bonds.
  • Proven bottom-up fundamental approach that seeks to identify attractive fixed income opportunities on a relative value basis.
  • Highly active strategy that seeks to deliver total return through income and preserve capital with moderate interest rate exposure.

Investment Objective

The fund’s goal is to provide investors as high a level of current income as is consistent with safety of capital. The fund also seeks to reduce changes in its share price compared to longer term portfolios.

Investment Approach

The fund employs a flexible and highly active approach to construct a portfolio of U.S. dollar–denominated short/intermediate investment grade bonds. It is designed for stability, capital preservation and moderate interest rate exposure. The fund seeks to drive returns through income and superior relative value issue selection in a dynamically changing fixed income environment.

Performance

Performance

Returns

(As of 30 Sep 2024)
YTD
1y
3y
5y
10y
Inception
Total Return (%)
5.29
9.83
0.89
1.84
2.04
4.25
Bloomberg Intermediate U.S. Government/Credit Index (%)
4.68
9.45
0.17
1.26
1.96
4.27
Morningstar Category Avg. (%)
5.18
8.71
1.69
2.07
1.98
Morningstar Quartile
1
4
3
2
YTD
1y
3y
5y
10y
Inception
Total Return (%)
4.07
9.21
0.62
1.54
1.88
4.21
Bloomberg Intermediate U.S. Government/Credit Index (%)
3.00
8.20
-0.18
0.85
1.73
4.21
Morningstar Category Avg. (%)
4.48
8.04
1.56
1.86
1.89
Morningstar Quartile
1
4
3
2
YTD
1y
3y
5y
10y
Inception
Total Return (%)
5.29
9.83
2.69
9.53
22.42
279.31
Bloomberg Intermediate U.S. Government/Credit Index (%)
4.68
9.45
0.52
6.44
21.47
281.69
YTD
1y
3y
5y
10y
Inception
Total Return (%)
4.07
9.21
1.87
7.92
20.47
274.93
Bloomberg Intermediate U.S. Government/Credit Index (%)
3.00
8.20
-0.54
4.33
18.69
275.58
2018
2019
2020
2021
2022
2023
Total Return (%)
0.82
5.15
7.13
-1.30
-7.52
6.04
Bloomberg Intermediate U.S. Government/Credit Index (%)
0.88
6.80
6.43
-1.44
-8.23
5.24
Fund Fees

Fund Fees

(As of 1 Feb 2024)
Gross Expense Ratio (%)
1.06
Net Expense Ratio (%)
0.99
Hypothetical Growth of $10,000

Hypothetical Growth of $10,000

(As of 31 Oct 2024)
(Hypothetical Growth of $10,000 vs Bloomberg Intermediate U.S. Government/Credit Index)
Distributions

Distributions

(As of 31 Oct 2024)
Ex-Date
Payable Date
Total ($)
Income ($)
ST Cap Gains ($)
LT Cap Gains ($)
31 Jan 2003
31 Jan 2003
0
28 Feb 2003
28 Feb 2003
0
31 Mar 2003
31 Mar 2003
0
30 Apr 2003
30 Apr 2003
0
31 May 2003
31 May 2003
0
30 Jun 2003
30 Jun 2003
0
31 Jul 2003
31 Jul 2003
0.06062
0.06062
29 Aug 2003
31 Aug 2003
0.06561
0.06561
30 Sep 2003
30 Sep 2003
0.04315
0.04315
31 Oct 2003
31 Oct 2003
0.04647
0.04647
28 Nov 2003
30 Nov 2003
0.04118
0.04118
31 Dec 2003
31 Dec 2003
0.04450
0.04450
30 Jan 2004
31 Jan 2004
0.03634
0.03634
27 Feb 2004
29 Feb 2004
0.03575
0.03575
31 Mar 2004
31 Mar 2004
0.03427
0.03427
30 Apr 2004
30 Apr 2004
0.03427
0.03427
28 May 2004
31 May 2004
0.03436
0.03436
30 Jun 2004
30 Jun 2004
0.03503
0.03503
30 Jul 2004
31 Jul 2004
0.03523
0.03523
31 Aug 2004
31 Aug 2004
0.03601
0.03601
30 Sep 2004
30 Sep 2004
0.03651
0.03651
29 Oct 2004
31 Oct 2004
0.03584
0.03584
30 Nov 2004
30 Nov 2004
0.03537
0.03537
31 Dec 2004
31 Dec 2004
0.03902
0.03902
31 Jan 2005
31 Jan 2005
0.03678
0.03678
28 Feb 2005
28 Feb 2005
0.03783
0.03783
31 Mar 2005
31 Mar 2005
0.03708
0.03708
29 Apr 2005
30 Apr 2005
0.03798
0.03798
31 May 2005
31 May 2005
0.03717
0.03717
30 Jun 2005
30 Jun 2005
0.03784
0.03784
29 Jul 2005
31 Jul 2005
0.03838
0.03838
31 Aug 2005
31 Aug 2005
0.05611
0.05611
30 Sep 2005
30 Sep 2005
0.04081
0.04081
31 Oct 2005
31 Oct 2005
0.03865
0.03865
30 Nov 2005
30 Nov 2005
0.04070
0.04070
30 Dec 2005
31 Dec 2005
0.04162
0.04162
31 Jan 2006
31 Jan 2006
0.04294
0.04294
28 Feb 2006
28 Feb 2006
0.03908
0.03908
31 Mar 2006
31 Mar 2006
0.04085
0.04085
28 Apr 2006
30 Apr 2006
0.04177
0.04177
31 May 2006
31 May 2006
0.04227
0.04227
30 Jun 2006
30 Jun 2006
0.04240
0.04240
31 Jul 2006
31 Jul 2006
0.04254
0.04254
31 Aug 2006
31 Aug 2006
0.04346
0.04346
29 Sep 2006
30 Sep 2006
0.04443
0.04443
31 Oct 2006
31 Oct 2006
0.04413
0.04413
30 Nov 2006
30 Nov 2006
0.04296
0.04296
29 Dec 2006
31 Dec 2006
0.04433
0.04433
31 Jan 2007
31 Jan 2007
0.03946
0.03946
28 Feb 2007
28 Feb 2007
0.03989
0.03989
30 Mar 2007
31 Mar 2007
0.04010
0.04010
30 Apr 2007
30 Apr 2007
0.04200
0.04200
31 May 2007
31 May 2007
0.04137
0.04137
29 Jun 2007
30 Jun 2007
0.04286
0.04286
31 Jul 2007
31 Jul 2007
0.04357
0.04357
31 Aug 2007
31 Aug 2007
0.04298
0.04298
28 Sep 2007
30 Sep 2007
0.04268
0.04268
31 Oct 2007
31 Oct 2007
0.04320
0.04320
30 Nov 2007
30 Nov 2007
0.04346
0.04346
31 Dec 2007
31 Dec 2007
0.04454
0.04454
31 Jan 2008
31 Jan 2008
0.04429
0.04429
29 Feb 2008
29 Feb 2008
0.04470
0.04470
31 Mar 2008
31 Mar 2008
0.04614
0.04614
30 Apr 2008
30 Apr 2008
0.04574
0.04574
30 May 2008
31 May 2008
0.04518
0.04518
30 Jun 2008
30 Jun 2008
0.04573
0.04573
31 Jul 2008
31 Jul 2008
0.04604
0.04604
29 Aug 2008
31 Aug 2008
0.05135
0.05135
30 Sep 2008
30 Sep 2008
0.04667
0.04667
31 Oct 2008
31 Oct 2008
0.05063
0.05063
28 Nov 2008
30 Nov 2008
0.05206
0.05206
31 Dec 2008
31 Dec 2008
0.05080
0.05080
30 Jan 2009
31 Jan 2009
0.04962
0.04962
27 Feb 2009
28 Feb 2009
0.04996
0.04996
31 Mar 2009
31 Mar 2009
0.04991
0.04991
30 Apr 2009
30 Apr 2009
0.05106
0.05106
29 May 2009
31 May 2009
0.05152
0.05152
30 Jun 2009
30 Jun 2009
0.05075
0.05075
31 Jul 2009
31 Jul 2009
0.04995
0.04995
31 Aug 2009
31 Aug 2009
0.04959
0.04959
30 Sep 2009
30 Sep 2009
0.05010
0.05010
30 Oct 2009
31 Oct 2009
0.04883
0.04883
30 Nov 2009
30 Nov 2009
0.04716
0.04716
31 Dec 2009
31 Dec 2009
0.04622
0.04622
29 Jan 2010
31 Jan 2010
0.04521
0.04521
26 Feb 2010
28 Feb 2010
0.04490
0.04490
31 Mar 2010
31 Mar 2010
0.04209
0.04209
30 Apr 2010
30 Apr 2010
0.04168
0.04168
28 May 2010
31 May 2010
0.04016
0.04016
30 Jun 2010
30 Jun 2010
0.04014
0.04014
30 Jul 2010
31 Jul 2010
0.04002
0.04002
31 Aug 2010
31 Aug 2010
0.04105
0.04105
30 Sep 2010
30 Sep 2010
0.04101
0.04101
29 Oct 2010
31 Oct 2010
0.04063
0.04063
19 Nov 2010
19 Nov 2010
0.04067
0.00000
0.04067
30 Nov 2010
30 Nov 2010
0.04083
0.04083
31 Dec 2010
31 Dec 2010
0.03954
0.03954
31 Jan 2011
31 Jan 2011
0.04012
0.04012
28 Feb 2011
28 Feb 2011
0.04067
0.04067
31 Mar 2011
31 Mar 2011
0.03879
0.03879
29 Apr 2011
30 Apr 2011
0.03842
0.03842
31 May 2011
31 May 2011
0.03680
0.03680
30 Jun 2011
30 Jun 2011
0.03759
0.03759
29 Jul 2011
31 Jul 2011
0.03678
0.03678
31 Aug 2011
31 Aug 2011
0.03678
0.03678
30 Sep 2011
30 Sep 2011
0.03821
0.03821
31 Oct 2011
31 Oct 2011
0.03729
0.03729
18 Nov 2011
18 Nov 2011
0.09254
0.01648
0.07606
30 Nov 2011
30 Nov 2011
0.04011
0.04011
30 Dec 2011
31 Dec 2011
0.04038
0.04038
31 Jan 2012
31 Jan 2012
0.03500
0.03500
29 Feb 2012
29 Feb 2012
0.03560
0.03560
30 Mar 2012
31 Mar 2012
0.03398
0.03398
30 Apr 2012
30 Apr 2012
0.03342
0.03342
31 May 2012
31 May 2012
0.03304
0.03304
29 Jun 2012
30 Jun 2012
0.03230
0.03230
31 Jul 2012
31 Jul 2012
0.03085
0.03085
31 Aug 2012
31 Aug 2012
0.03194
0.03194
28 Sep 2012
30 Sep 2012
0.03177
0.03177
31 Oct 2012
31 Oct 2012
0.03121
0.03121
20 Nov 2012
20 Nov 2012
0.05979
0.03515
0.02464
30 Nov 2012
30 Nov 2012
0.03065
0.03065
31 Dec 2012
31 Dec 2012
0.02938
0.02938
31 Jan 2013
31 Jan 2013
0.02871
0.02871
28 Feb 2013
28 Feb 2013
0.02699
0.02699
28 Mar 2013
31 Mar 2013
0.02533
0.02533
30 Apr 2013
30 Apr 2013
0.02506
0.02506
31 May 2013
31 May 2013
0.02527
0.02527
28 Jun 2013
30 Jun 2013
0.02418
0.02418
31 Jul 2013
31 Jul 2013
0.02457
0.02457
30 Aug 2013
31 Aug 2013
0.02494
0.02494
30 Sep 2013
30 Sep 2013
0.02611
0.02611
31 Oct 2013
31 Oct 2013
0.02319
0.02319
19 Nov 2013
19 Nov 2013
0.10996
0.03557
0.07439
29 Nov 2013
30 Nov 2013
0.02365
0.02365
31 Dec 2013
31 Dec 2013
0.02548
0.02548
31 Jan 2014
31 Jan 2014
0.02426
0.02426
28 Feb 2014
28 Feb 2014
0.02553
0.02553
31 Mar 2014
31 Mar 2014
0.02509
0.02509
30 Apr 2014
30 Apr 2014
0.02556
0.02556
30 May 2014
31 May 2014
0.02529
0.02529
30 Jun 2014
30 Jun 2014
0.02287
0.02287
31 Jul 2014
31 Jul 2014
0.02127
0.02127
29 Aug 2014
31 Aug 2014
0.02095
0.02095
30 Sep 2014
30 Sep 2014
0.02116
0.02116
31 Oct 2014
31 Oct 2014
0.02040
0.02040
19 Nov 2014
19 Nov 2014
0.07097
0.01311
0.05786
28 Nov 2014
30 Nov 2014
0.02093
0.02093
31 Dec 2014
31 Dec 2014
0.02130
0.02130
30 Jan 2015
31 Jan 2015
0.02169
0.02169
27 Feb 2015
28 Feb 2015
0.02243
0.02243
31 Mar 2015
31 Mar 2015
0.02201
0.02201
30 Apr 2015
30 Apr 2015
0.02078
0.02078
29 May 2015
31 May 2015
0.02041
0.02041
30 Jun 2015
30 Jun 2015
0.02128
0.02128
31 Jul 2015
31 Jul 2015
0.02012
0.02012
31 Aug 2015
31 Aug 2015
0.02113
0.02113
30 Sep 2015
30 Sep 2015
0.02160
0.02160
30 Oct 2015
31 Oct 2015
0.01895
0.01895
30 Nov 2015
30 Nov 2015
0.01871
0.01871
31 Dec 2015
31 Dec 2015
0.01913
0.01913
29 Jan 2016
31 Jan 2016
0.01838
0.01838
29 Feb 2016
29 Feb 2016
0.01993
0.01993
31 Mar 2016
31 Mar 2016
0.02155
0.02155
29 Apr 2016
30 Apr 2016
0.02157
0.02157
31 May 2016
31 May 2016
0.02139
0.02139
30 Jun 2016
30 Jun 2016
0.02175
0.02175
29 Jul 2016
31 Jul 2016
0.01960
0.01960
31 Aug 2016
31 Aug 2016
0.01888
0.01888
30 Sep 2016
30 Sep 2016
0.01685
0.01685
31 Oct 2016
31 Oct 2016
0.01734
0.01734
30 Nov 2016
30 Nov 2016
0.01854
0.01854
30 Dec 2016
31 Dec 2016
0.01881
0.01881
31 Jan 2017
31 Jan 2017
0.01819
0.01819
28 Feb 2017
28 Feb 2017
0.01881
0.01881
31 Mar 2017
31 Mar 2017
0.01916
0.01916
28 Apr 2017
30 Apr 2017
0.01965
0.01965
31 May 2017
31 May 2017
0.01869
0.01869
30 Jun 2017
30 Jun 2017
0.01950
0.01950
31 Jul 2017
31 Jul 2017
0.01941
0.01941
31 Aug 2017
31 Aug 2017
0.02003
0.02003
29 Sep 2017
30 Sep 2017
0.02053
0.02053
31 Oct 2017
31 Oct 2017
0.02014
0.02014
30 Nov 2017
30 Nov 2017
0.02125
0.02125
29 Dec 2017
31 Dec 2017
0.02008
0.02008
31 Jan 2018
31 Jan 2018
0.02071
0.02071
28 Feb 2018
28 Feb 2018
0.02136
0.02136
29 Mar 2018
31 Mar 2018
0.02270
0.02270
30 Apr 2018
30 Apr 2018
0.02323
0.02323
31 May 2018
31 May 2018
0.02368
0.02368
29 Jun 2018
30 Jun 2018
0.02494
0.02494
31 Jul 2018
31 Jul 2018
0.02461
0.02461
31 Aug 2018
31 Aug 2018
0.02418
0.02418
28 Sep 2018
30 Sep 2018
0.02425
0.02425
31 Oct 2018
31 Oct 2018
0.02524
0.02524
30 Nov 2018
30 Nov 2018
0.02595
0.02595
31 Dec 2018
31 Dec 2018
0.02655
0.02655
31 Jan 2019
31 Jan 2019
0.02580
0.02580
28 Feb 2019
28 Feb 2019
0.02598
0.02598
29 Mar 2019
31 Mar 2019
0.02686
0.02686
30 Apr 2019
30 Apr 2019
0.02707
0.02707
31 May 2019
31 May 2019
0.02673
0.02673
28 Jun 2019
30 Jun 2019
0.02705
0.02705
31 Jul 2019
31 Jul 2019
0.02509
0.02509
31 Aug 2019
31 Aug 2019
0.02385
0.02385
30 Sep 2019
30 Sep 2019
0.02427
0.02427
31 Oct 2019
31 Oct 2019
0.02268
0.02268
14 Nov 2019
14 Nov 2019
0.09516
0.06730
0.02786
30 Nov 2019
30 Nov 2019
0.02248
0.02248
31 Dec 2019
31 Dec 2019
0.02271
0.02271
31 Jan 2020
31 Jan 2020
0.02069
0.02069
29 Feb 2020
29 Feb 2020
0.01967
0.01967
31 Mar 2020
31 Mar 2020
0.02226
0.02226
30 Apr 2020
30 Apr 2020
0.02403
0.02403
31 May 2020
31 May 2020
0.02113
0.02113
30 Jun 2020
30 Jun 2020
0.01929
0.01929
31 Jul 2020
31 Jul 2020
0.01879
0.01879
31 Aug 2020
31 Aug 2020
0.01855
0.01855
30 Sep 2020
30 Sep 2020
0.01824
0.01824
30 Oct 2020
31 Oct 2020
0.01602
0.01602
19 Nov 2020
19 Nov 2020
0.16826
0.15003
0.01823
30 Nov 2020
30 Nov 2020
0.01437
0.01437
31 Dec 2020
31 Dec 2020
0.01326
0.01326
29 Jan 2021
31 Jan 2021
0.01239
0.01239
26 Feb 2021
28 Feb 2021
0.01361
0.01361
31 Mar 2021
31 Mar 2021
0.01293
0.01293
30 Apr 2021
30 Apr 2021
0.01312
0.01312
28 May 2021
31 May 2021
0.01289
0.01289
30 Jun 2021
30 Jun 2021
0.01279
0.01279
30 Jul 2021
31 Jul 2021
0.01189
0.01189
31 Aug 2021
31 Aug 2021
0.01223
0.01223
30 Sep 2021
30 Sep 2021
0.01173
0.01173
29 Oct 2021
31 Oct 2021
0.01059
0.01059
30 Nov 2021
30 Nov 2021
0.01143
0.01143
31 Dec 2021
31 Dec 2021
0.01277
0.01277
31 Jan 2022
31 Jan 2022
0.01178
0.01178
28 Feb 2022
28 Feb 2022
0.01250
0.01250
31 Mar 2022
31 Mar 2022
0.01497
0.01497
29 Apr 2022
30 Apr 2022
0.01720
0.01720
31 May 2022
31 May 2022
0.01994
0.01994
30 Jun 2022
30 Jun 2022
0.01970
0.01970
29 Jul 2022
31 Jul 2022
0.02299
0.02299
31 Aug 2022
31 Aug 2022
0.02786
0.02786
30 Sep 2022
30 Sep 2022
0.01991
0.01991
31 Oct 2022
31 Oct 2022
0.02116
0.02116
30 Nov 2022
30 Nov 2022
0.02467
0.02467
30 Dec 2022
31 Dec 2022
0.02813
0.02813
31 Jan 2023
31 Jan 2023
0.02187
0.02187
28 Feb 2023
28 Feb 2023
0.02087
0.02087
31 Mar 2023
31 Mar 2023
0.03327
0.03327
28 Apr 2023
30 Apr 2023
0.03277
0.03277
31 May 2023
31 May 2023
0.03202
0.03202
30 Jun 2023
30 Jun 2023
0.03269
0.03269
31 Jul 2023
31 Jul 2023
0.03090
0.03090
31 Aug 2023
31 Aug 2023
0.03242
0.03242
29 Sep 2023
30 Sep 2023
0.03163
0.03163
31 Oct 2023
31 Oct 2023
0.03577
0.03577
30 Nov 2023
30 Nov 2023
0.03408
0.03408
29 Dec 2023
31 Dec 2023
0.03199
0.03199
31 Jan 2024
31 Jan 2024
0.02986
0.02986
29 Feb 2024
29 Feb 2024
0.03230
0.03230
28 Mar 2024
31 Mar 2024
0.03817
0.03817
30 Apr 2024
30 Apr 2024
0.04088
0.04088
31 May 2024
31 May 2024
0.04283
0.04283
28 Jun 2024
30 Jun 2024
0.04128
0.04128
31 Jul 2024
31 Jul 2024
0.04057
0.04057
30 Aug 2024
31 Aug 2024
0.03932
0.03932
30 Sep 2024
30 Sep 2024
0.04156
0.04156
31 Oct 2024
31 Oct 2024
0.03799
0.03799
Fund Facts

Fund Facts

(As of 30 Sep 2024)
Net Fund Assets
$6.4 B
Benchmark
Bloomberg Intermediate U.S. Government/Credit Index
Morningstar Category
Short-Term Bond
Fund Symbol
THIRX
Share Class
R3
Share Class Inception Date
1 Jul 2003
Number of Holdings
653
Portfolio Turnover
38%
Distribution Frequency
Monthly
30-Day SEC Yield (Subsidized)
3.19%
30-Day SEC Yield (Unsubsidized)
3.09%
Annualized Distribution Yield
3.37%
Characteristics

Characteristics

Portfolio

(As of 30 Sep 2024)
Portfolio
Benchmark
Effective Duration
3.4 Yrs
3.7 Yrs
Average Effective Maturity
4.3 Yrs
4.2 Yrs
Portfolio
Benchmark
Weighted Average Coupon
3.2%
3.3%
Yield to Worst
4.8%
3.9%
Risk & Return Profile

Risk & Return Profile

(As of 30 Sep 2024)
3y
5y
10y
Beta
0.84
0.88
0.81
R-Squared (%)
93.90
83.34
82.17
Standard Deviation (%)
4.23
3.91
2.94
Sharpe Ratio
-0.53
-0.01
0.30
Information Ratio
0.93
0.64
0.42
Up Capture (%)
93.13
103.44
92.49
Down Capture (%)
75.77
82.84
71.20
Portfolio

Portfolio

Top Holdings

(As of 30 Sep 2024)
Name
Ticker/Symbol
Weight %
United States Treasury Note/Bond
91282CFF3
4.5
United States Treasury Inflation Indexed Bonds
91282CBF7
1.7
Freddie Mac Pool
3132E0T85
1.7
United States Treasury Inflation Indexed Bonds
912810PV4
1.7
Fannie Mae Pool
3140XMZX7
1.7
United States Treasury Inflation Indexed Bonds
91282CEJ6
1.6
United States Treasury Inflation Indexed Bonds
91282CDX6
0.9
Rate Mortgage Trust 2022-J1
75410RAJ5
0.6
United States Treasury Note/Bond
91282CKQ3
0.6
Freddie Mac Pool
3132DPBV9
0.6
Exposure Breakdown

Exposure Breakdown

(As of 30 Sep 2024)
Sector Allocation
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
Corporate
31.1
29.8
Collateralized Mortgage Obligation
20.1
Asset Backed Securities
13.1
0.0
Treasury-Domestic
12.6
63.7
Mortgage Passthrough
11.0
Cash & Cash Equivalents
7.8
Commercial Mortgage Backed Security
3.3
Preferred Stock
0.6
Agency Debenture
0.3
2.5
Treasury-Foreign
0.1
3.3
Municipals
0.1
0.6
Sector Allocation
Fund (%)
Corporate
31.1
Collateralized Mortgage Obligation
20.1
Asset Backed Securities
13.1
Treasury-Domestic
12.6
Mortgage Passthrough
11.0
Cash & Cash Equivalents
7.8
Commercial Mortgage Backed Security
3.3
Preferred Stock
0.6
Agency Debenture
0.3
Treasury-Foreign
0.1
Municipals
0.1
Credit Quality
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
10%
20%
30%
40%
50%
60%
70%
U.S. Government
30.1
66.1
AAA
19.9
2.5
AA
4.6
2.9
A
17.0
14.3
BBB
20.3
14.2
Below Invest. Grade
0.1
Not Rated
0.3
Cash & Cash Equivalents
7.7
Credit Quality
Fund (%)
U.S. Government
30.1
AAA
19.9
AA
4.6
A
17.0
BBB
20.3
Below Invest. Grade
0.1
Not Rated
0.3
Cash & Cash Equivalents
7.7
Maturity
Fund (%)
Benchmark (%)

Fund

Benchmark

0%
5%
10%
15%
20%
25%
30%
Year 1
13.1
1.9
Year 2
10.5
21.1
Year 3
10.6
16.8
Year 4
9.6
14.0
Year 5
10.7
14.1
Year 6
7.4
8.1
Year 7
5.6
8.4
Year 8
9.4
5.1
Year 9
2.4
5.3
Year 10+
13.1
5.2
Cash
7.7
Maturity
Fund (%)
Year 1
13.1
Year 2
10.5
Year 3
10.6
Year 4
9.6
Year 5
10.7
Year 6
7.4
Year 7
5.6
Year 8
9.4
Year 9
2.4
Year 10+
13.1
Cash
7.7
Portfolio Managers

Portfolio Managers

Lon Erickson, CFA

Lon Erickson, CFA

Portfolio Manager and Managing Director
Lon Erickson is portfolio manager for Thornburg Investment Management. He joined Thornburg in 2008 and was named a managing director and was promoted to portfolio manager in 2010. Prior to joining Thornburg Investment Management, Lon spent almost 11 years as an analyst for State Farm Insurance in the equity and corporate bond departments. Lon earned a bachelor’s degree in business…
Learn More
Christian Hoffmann, CFA

Christian Hoffmann, CFA

Head of Fixed Income and Managing Director
Christian Hoffmann is head of fixed income and a portfolio manager for Thornburg Investment Management. He joined the firm in 2012 as a fixed income analyst and was promoted to associate portfolio manager in 2014. Christian was named a managing director in 2017, was promoted to portfolio manager in 2018, and to head of fixed income in 2024. Prior to…
Learn More

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