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Loomis Sayles Value Fund

Fund focus

Loomis Sayles Value Fund seeks long-term growth of capital and income by investing in mid- and large-cap companies that the managers believe are undervalued.

What you should know

While the fund offers potential for long-term capital growth, it invests in value stocks, which can fall out of favor with investors and may underperform growth stocks during certain market conditions.

Investment strategy

Following a bottom-up, fundamental process, the fund managers invest in companies that they believe are selling at a significant discount to intrinsic value.The managers look across all sectors for companies that are undervalued by the market in relation to earnings, dividends, assets, and growth prospects. Security selection is the prime driver of return.

Portfolio Highlights

Information is as of 6/30/2008*
AT&T, Inc.
4.02%
ExxonMobil Corp.
3.74%
General Electric Capital Co.
3.00%
Total SA, Sponsored ADR
2.85%
Halliburton Co.
2.47%

View a list of the most recent top ten holdings for this fund.
View a complete list of holdings for this fund.

 * The portfolio is actively managed. The holdings are subject to change. There is no guarantee the fund continues to invest in the securities referenced.

Portfolio Managers

Managed by Loomis Sayles & Company, L.P.

Arthur Barry James Carroll Warren N. Koontz
Arthur Barry James Carroll Warren N. Koontz

The following information regarding this Fund is also available:


Value stocks can fall out of favor with investors and may underperform growth stocks under certain market conditions.

Because the Fund can invest a significant percentage of assets in foreign securities the value of the Fund shares can be adversely affected by changes in currency exchange rates, political, and economic developments. In emerging markets these risks can be significant. The Fund is subject to currency risk, which is the risk that fluctuations in exchange rates between the U.S. dollar and foreign currencies may cause the value of a Fund's investments to decline. Funds that invest in securities denominated in, or receive revenues in, foreign currency are subject to currency risk. Accordingly, the purchase of fund shares should be viewed as a long-term investment.

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For more complete information, including a prospectus, please contact your financial advisor. You may also view a current prospectus online, order literature through our site, or contact an Investor Service Representative at 800-225-5478. Investors should consider a fund's objective, risks and expenses carefully before investing. This information, and other information, can be found in the fund's prospectus. Please read the prospectus carefully before investing. Other expenses, including sales charges, apply to a continued investment in the fund and are described in the fund's current prospectus.

The mutual funds referred to in this website are offered and sold only to persons who are eligible to purchase U.S. registered investment funds and are offered by prospectus only.




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