Mutual Funds: Broad Categories - Fixed Income

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Symbol
Name
Price
% Chg
% Chg YTD
0P00013WC4 HSBC Canadian Bond Institutional 9.393 -0.05%
0P00013WC5 HSBC Canadian Bond Manager 8.129 -0.05%
0P00013WC6 HSBC Canadian Bond Pooled None None
0P00013WCN HSBC Emerging Markets Debt Institutional 7.321 -0.03%
0P00013WCO HSBC Emerging Markets Debt Investor 7.272 -0.03%
0P00013WCP HSBC Emerging Markets Debt Manager 7.128 -0.16%
0P00013WCQ HSBC Emerging Markets Debt Pooled None None
0P00013WCR HSBC Emerging Markets Debt Premium 7.248 -0.03%
0P00013WD3 HSBC Global Inflation Linked Bond Pooled 9.535 -0.26%
0P00013WD9 HSBC Mortgage Institutional 8.207 -0.10%
0P00013WDA HSBC Mortgage Manager 7.899 -0.10%
0P00013WDB HSBC Mortgage Pooled 7.915 -0.10%
0P00013WDM HSBC Global High Yield Bond Pooled 5.961 -0.13%
0P00016QV6 Purpose Strategic Yield Series F 6.220 +0.02% -3.20%
0P0001F9RL BlueBay Em Mkts Lcl Ccy Bd (Cnd) O 12.77 +0.39% -7.20%
0P0001GZ44 BlueBay Emerging Markets Bond (Cnd) D 12.89 -1.79%
0P0001IIFP Franklin Strategic Income PA 7.561 -0.16% -2.87%
0P0001JVRW CI DoubleLine Income US$ P 10.42 +0.04% 4.22%
AABOX Cavanal Hill Bond A 10.06 -0.10% 4.03%
AAENX Cavanal Hill Strategic Enhanced Yld A 10.57 -0.09% 3.63%
AAHMX Aberdeen Short Dur Hi Yld Muncpl A 9.99 +0.10% -2.54%
AAIBX Cavanal Hill Moderate Duration A 10.79 +0.00% 1.98%
AAIIX Ancora Income I 7.48 -0.27% -5.56%
AAINX Thrivent Opportunity Income Plus A 10.04 +0.00% -1.38%
AAMBX Thrivent Municipal Bond A 11.42 +0.00% -0.26%
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