NAV

$ 10.84

NAV Day Change

10.84 | 2
%
As of 07/23/2014 | USD

Yield

2.53%

Load

4.25

Total Assets

459.7 mil

Expenses

0.90%

Fee Level

Average

Turnover

120%

Status

Open

Min. Inv.

1,000

52-Week Range

Category

Intermediate-Term Bond

Investment Style

--

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pliax Price Today

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Mutual Fund Quote: pliax PL Income A - Morningstar Quote

Mutual Fund Quote: pliax PL Income A - Morningstar Price

Mutual Fund Quote: pliax PL Income A - Morningstar Price Today

Mutual Fund Quote: pliax PL Income A - Morningstar Price History

NAV Mutual Fund Quote: pliax PL Income A - Morningstar

Net Asset Value Mutual Fund Quote: pliax PL Income A - Morningstar

Day Change Mutual Fund Quote: pliax PL Income A - Morningstar

Yield Mutual Fund Quote: pliax PL Income A - Morningstar

Category Mutual Fund Quote: pliax PL Income A - Morningstar

Investment Style Mutual Fund Quote: pliax PL Income A - Morningstar

Load Mutual Fund Quote: pliax PL Income A - Morningstar

Expenses Ratio Mutual Fund Quote: pliax PL Income A - Morningstar

Turnover Mutual Fund Quote: pliax PL Income A - Morningstar

Minimum Investment Mutual Fund Quote: pliax PL Income A - Morningstar

1 year range Mutual Fund Quote: pliax PL Income A - Morningstar

52 weeek range Mutual Fund Quote: pliax PL Income A - Morningstar

Top Sectors  PLIAX More...

Top Sectors PLIAX

Corporate Bond
Bank Loan
Asset-Backed
U.S. Treasury
Non-U.S. Government

Dividend and Capital Gains Distributions  PLIAX

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Mutual Fund Quote: pliax PL Income A - Morningstar
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