Exchange Hours | Website |
---|---|
9:30 - 15:59 ET | www.im.natixis.com/us/home |
Fund | Symbol | Investment Type |
Large Notify |
Initial Investment Minimum 1 |
Load Type |
Share Class |
Transaction Fee |
---|---|---|---|---|---|---|---|
LS INTERMEDIATE BOND FUND Y | LSDIX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
AEW REAL ESTATE FUND CL Y | NRFYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
GATEWAY FUND CL Y | GTEYX | Balanced | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
NATIXIS OAKMARK FUND CL Y | NEOYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES ABSOLUTE STRATEGIES FUND Y | LASYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES CORE PLUS BOND FUND CL Y | NERYX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES GLOBAL ALLOCATION Y | LSWWX | Stock | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES GROWTH FUND CL Y | LSGRX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES HIGH INCOME FUND CL Y | NEHYX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES INVESTMENT GRADE BND ADMIN | LIGAX | Bond | USD 1,000,000 | USD 0 | No Load | ADMIN CLASS | No |
LOOMIS SAYLES INVESTMENT GRADE BOND FD C | LSIIX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES LTD TERM GOVT/AGY FD CL Y | NELYX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LS SR FLOATING RATE AND FIXED INCOME Y | LSFYX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES STRATEGIC INCOME FD ADMIN | NEZAX | Bond | USD 1,000,000 | USD 0 | No Load | ADMIN CLASS | No |
LOOMIS SAYLES STRATEGIC INCOME FUND CL Y | NEZYX | Bond | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
NATIXIS U.S. EQUITY OPPORTUNITIES CL Y | NESYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
VAUGHAN NELSON MID CAP FUND CL Y | VNVYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
NATIXIS OAKMARK FUND CL A | NEFOX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES HIGH INCOME FUND CL A | NEFHX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES LTD TERM GOVT/AGY FD CL A | NEFLX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
NATIXIS U.S. EQUITY OPPORTUNITIES CL A | NEFSX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES STRATEGIC INCOME FUND CL A | NEFZX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
VAUGHAN NELSON SMALL CAP VALUE FUND CL A | NEFJX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES GROWTH FUND CL A | LGRRX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
AEW REAL ESTATE FUND CL A | NRFAX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES INVESTMENT GRADE BOND FD A | LIGRX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES GLOBAL ALLOCATION FUND A | LGMAX | Stock | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
VAUGHAN NELSON MID CAP FUND A | VNVAX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
NATIXIS OAKMARK INTERNATIONAL FUND A | NOIAX | Stock | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LS SR FLOATING RATE AND FIXED INCOME A | LSFAX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
VAUGHAN NELSON SELECT FUND CL A | VNSAX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES CORE PLUS BOND FUND CL A | NEFRX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
VAUGHAN NELSON SMALL CAP VALUE FUND CL Y | NEJYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
AEW REAL ESTATE FUND CL N | NRFNX | N/A | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
VAUGHAN NELSON MID CAP FUND CL N | VNVNX | N/A | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
LOOMIS SAYLES CORE PLUS BOND FUND CL N | NERNX | Bond | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
LOOMIS SAYLES GROWTH FUND CL N | LGRNX | N/A | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
LOOMIS SAYLES INVESTMENT GRADE BOND CL N | LGBNX | Bond | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
LOOMIS SAYLES STRATEGIC INCOME FUND CL N | NEZNX | Bond | USD 1,000,000 | USD 1,000,000 | No Load | CLASS N | Yes |
VAUGHAN NELSON SELECT FUND CL Y | VNSYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
GATEWAY FUND CL A | GATEX | Balanced | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES STRATEGIC ALPHA FUND A | LABAX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
GATWAY EQUITY CALL PREMIUM FUND CL A | GCPAX | N/A | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
GATEWAY EQUITY CALL PREMIUM FUND CK A | GCPYX | N/A | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
LOOMIS SAYLES GLOBAL GROWTH FUND | LSAGX | Stock | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
LOOMIS SAYLES GLOBAL GROWTH FUND Y | LSGGX | Stock | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
MIROVA GLOBAL SUSTAINABLE EQUITY FUND A | ESGMX | Stock | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
MIROVA GLOBAL SUSTAINABLE EQUITY FUND Y | ESGYX | Stock | USD 1,000,000 | USD 100,000 | No Load | CLASS Y | Yes |
MIROVA GLOBAL GREEN BOND FUND CL A | MGGAX | Bond | USD 1,000,000 | USD 2,500 | Front-End Load | CLASS A | No |
MIROVA INTL SUSTAINABLE EQUITY FUND Y | MRVYX | Stock | USD 957,000 | USD 100,000 | No Load | CLASS Y | Yes |
NATIXIS SUSTAINABLE FUTURE 2065 FUND | NSFOX | N/A | USD 164,000 | USD 1,000,000 | No Load | CLASS N | Yes |
WCM FOCUSED MID CAP FUND INVESTOR | WMIDX | N/A | USD 500,000 | USD 1,000 | No Load | INVESTOR | No |
WCM FOCUSED MID CAP FUND INST | WCMAX | N/A | USD 500,000 | USD 100,000 | No Load | INSTITUTIONAL | Yes |
Notes:
Pursuant to Part 7.8A of the Corporations Act 2001, Interactive Brokers Australia Pty. Ltd. has prepared the following target market determinations relating to certain financial products for which it is deemed to be the issuer. Our Target Market Determinations are located here: Target Market Determinations.
Product Disclosure Statements are also available for each of these products. If applicable, you should carefully consider these Disclosures in deciding whether to acquire, or to continue to hold, the relevant financial product.