Natixis Funds paid capital gains distributions on December 10, December 21 and December 28, 2007.
| |
Fund |
Record date1 |
Ex-date2 |
Pay date3 |
Short-term cap gains |
Long-term cap gains |
Total |
| |
AEW Real Estate Fund |
12/20/07 |
12/21/07 |
12/21/07 |
$0.0833 |
$1.9215 |
$2.0048 |
| |
CGM Advisor Targeted Equity Fund |
12/20/07 |
12/21/07 |
12/21/07 |
$0.5821 |
$0.2574 |
$0.8395 |
| |
Hansberger International Fund |
12/20/07 |
12/21/07 |
12/21/07 |
$0.3680 |
$1.6689 |
$2.0369 |
| |
Harris Associates Focused Value Fund |
12/20/07 |
12/21/07 |
12/21/07 |
$0.1712 |
$1.4580 |
$1.6292 |
| |
Loomis Sayles Global Markets Fund |
12/07/07 |
12/10/07 |
12/10/07 |
$0.1196 |
$0.3213 |
$0.4409 |
| |
Loomis Sayles Municipal Income Fund |
12/27/07 |
12/28/07 |
12/28/07 |
– |
$0.0550 |
$0.0550 |
| |
Loomis Sayles Research Fund |
12/07/07 |
12/10/07 |
12/10/07 |
$0.4348 |
$0.5388 |
$0.9736 |
| |
Loomis Sayles Strategic Income Fund |
12/27/07 |
12/28/07 |
12/28/07 |
– |
$0.0125 |
$0.0125 |
| |
Loomis Sayles Value Fund |
12/07/07 |
12/10/07 |
12/10/07 |
$0.0051 |
$0.0566 |
$0.0617 |
| |
Natixis Income Diversified Portfolio |
12/20/07 |
12/21/07 |
12/21/07 |
$0.0361 |
$0.1042 |
$0.1403 |
| |
Natixis Moderate Diversified Portfolio |
12/20/07 |
12/21/07 |
12/21/07 |
$0.3756 |
$0.6496 |
$1.0252 |
| |
Natixis U.S. Diversified Portfolio |
12/20/07 |
12/21/07 |
12/21/07 |
– |
$0.3118 |
$0.3118 |
Special distributions in October 2007
On October 24, 2007 there was a special ordinary income and capital gain distribution for both Natixis Value Fund and Loomis Sayles Value Fund as detailed below. Read more here.
| |
Fund |
Pay date3 |
Ordinary income |
Short-term cap gains |
Long-term cap gains |
Total |
| |
Loomis Sayles Value Fund |
| |
Class A |
10/24/07 |
$0.1117 |
$0.4596 |
$0.6291 |
$1.2004 |
| |
Class B |
10/24/07 |
$0.1240 |
$0.4596 |
$0.6291 |
$1.2127 |
| |
Class C |
10/24/07 |
$0.1497 |
$0.4596 |
$0.6291 |
$1.2384 |
| |
Class Y |
10/24/07 |
$0.1687 |
$0.4596 |
$0.6291 |
$1.2574 |
| |
Natixis Value Fund |
| |
Class A |
10/24/07 |
$0.0208 |
$0.2250 |
$1.3851 |
$1.6309 |
| |
Class B |
10/24/07 |
– |
$0.2250 |
$1.3851 |
$1.6101 |
| |
Class C |
10/24/07 |
– |
$0.2250 |
$1.3851 |
$1.6101 |