Bond Fund

Overview Commentary Management Philosophy Process Performance

Loomis, Sayles & Company, L.P.

Loomis, Sayles & Company, L.P. (“Loomis”) is the subadvisor for the Managers Bond Fund. Loomis, located at One Financial Center, Boston, Massachusetts, was founded in 1926. Loomis believes that inefficiencies are inherent in bond markets, hence the greatest opportunities to add value, reside in the pricing of credit risk. Loomis seeks to identify attractively valued issues through fundamental research.

Portfolio Manager

Dan Fuss is the lead portfolio manager for the Fund. Loomis has managed a portion of the Fund since its inception in 1984. Prior to April 1993, the Fund utilized a dual investment manager structure.

Daniel J. Fuss, CFA, CIC
Executive Vice President, Vice Chairman, Portfolio Manager
Dan Fuss has been with Loomis since 1976 and manages multi-billion dollars in fixed-income funds. He has a Bachelor of Science and MBA from Marquette University.  He is a member of the Education Committee of the Investment Analysts Society in Chicago.


Disclosure
Investors should carefully consider the fund's investment objectives, risks, charges, and expenses before investing. For this and other information, please call 800.835.3879 or download a free prospectus. Read it carefully before investing or sending money.

The performance shown represents past performance and is not a guarantee of future results. Current performance may be lower or higher than the performance data quoted. The investment return and the principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. From time to time the advisor has waived fees or reimbursed expenses, which may have resulted in higher returns. The listed returns and yields on the Fund are net of expenses and the returns and yields on the indices exclude expenses. Current performance of the Fund may be lower or higher than the performance quoted.

Downloadable Documents
Quarterly Update 9/30/08
Product Profile
Detailed Fund Statistics
Holdings
Monthly Fund Dividends
SEC Yields
Prospectus
Annual Report 12/31/07
Semi-Annual Report 6/30/08
Statement of Additional Information
More Forms and Applications
Fund Pricing 01/05/09
NAV: $19.46
NAV $ Change: -$0.04
NAV % Change: -0.21%
YTD Return (as of 12/31/08)
- at NAV -16.31%
Complete information is found on the Daily Pricing and Performance pages.
 
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