Daily Historical Prices

Corporate Bond Fund  R 6 –  ticker F D B L X

Historical Prices
AS OF NAV NAV
CHANGE
YTD
TOTAL RETURN
NAV
DIVIDEND
FACTOR
Daily
Distribution Yield
at NAV
August 3 2025 $8.43 $0.00 3.84%
August 2 2025 $8.43 $0.00 3.84%
August 1 2025 $8.43 $0.04 3.84%
July 31 2025 $8.39 $0.01 4.18% 3.86%
July 30 2025 $8.38 -$0.02 4.06% 3.87%
July 29 2025 $8.40 $0.03 4.30% 3.86%
July 28 2025 $8.37 -$0.01 3.93% 3.87%
July 27 2025 $8.38 $0.00 4.06% 3.87%
July 26 2025 $8.38 $0.00 4.06% 3.87%
July 25 2025 $8.38 $0.02 4.06% 3.87%
DISCLOSURES

Current performance may be lower or higher than what is stated. To view performance current to the most recent month-end and for standard total returns and yields, click on the Performance Annualized and Yields tabs on the main Product page.  

Performance quoted represents past performance, which is no guarantee of future results. For fluctuating funds, investment return and principal value will fluctuate so that an investor's shares, when sold or redeemed, may be worth more or less than the original cost.  For money market funds, investment return will vary and an investor's shares, when redeemed, may be worth more or less than the original cost.

For additional information, including definitions of related terms and indexes, see the Financial Glossary and Benchmark Index Glossary. In addition, by accessing documents containing CUSIP information, you agree to the Terms of Use for CUSIP Information contained in the Financial Glossary.

For printing purposes, this must be preceded or accompanied by a prospectus.