Login / Register
HOME
ABOUT US
Contact Us
FUNDS
View Performance
Fixed Income
U.S. Equity
International & Global Equity
ETFs
INSIGHTS
Chart Library
Market & Economic Commentary
Podcasts
RESOURCES
Fund Literature
Prospectuses, Reports & Holdings
Fact Sheets
Fund Literature
Advisor Resources
Advisor Materials
View Resources
Tax Information
Corporate Credit Highlights
Glossary of Terms
Aristotle
Aristotle/Saul

Multi-Asset Income Fund

(Formerly Aristotle ESG Core Bond Fund)
(Formerly Aristotle Portfolio Optimization Conservative Fund)

Seeks current income and capital appreciation.

Class A
POAAX
Class C
POACX
ria
Class I-2
PLCDX

Morningstar Medalist RatingTM  (Class I and Class I-2)

Analyst-Driven: 10%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of May 31, 2026

Morningstar Medalist RatingTM  (Class I)

Analyst-Driven: 100%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of July 1, 2026

Morningstar Medalist RatingTM  (Class I-2)

Analyst-Driven: 100%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of July 1, 2026

Morningstar Medalist RatingTM  (Class I)

Analyst-Driven: 10%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of May 31, 2026

Morningstar Medalist RatingTM  (Class I-2)

Analyst-Driven: 10%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of May 31, 2026

Morningstar Medalist RatingTM  (Class I and Class I-2)

Analyst-Driven: 100%  I  Data Availability: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of April 27, 2026

Morningstar Medalist RatingTM  (Class I)

Analyst-Driven: 100%  I  Data COVERAGE: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of May 13, 2026

Morningstar Medalist RatingTM  (Class I-2)

Analyst-Driven: 100%  I  Data COVERAGE: 100%
Analyst Driven: 100%
Data Availability: 100%
Medalist Rating as of May 13, 2026

Morningstar Ratings (Class I-2) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 225 Ultrashort Funds
3-Year Rating
Out of 225 Ultra Short Funds
5-Year Rating
Out of 183 Ultra Short Funds
10-Year Rating
N/A

Morningstar Ratings (Class I) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 199 Bank Loan Funds
3-Year Rating
Out of 199 Bank Loan Funds
5-Year Rating
Out of 188 Bank Loan Funds
10-Year Rating
Out of 166 Bank Loan Funds

Morningstar Ratings (Class I) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 517 Short-Term Bond funds
3-Year Rating
Out of 517 Short-Term Bond funds
5-Year Rating
Out of 488 Short-Term Bond funds
10-Year Rating
Out of 379 Short-Term Bond funds

Morningstar Ratings (Class I-2) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 499 Intermediate Core-Plus Bond funds
3-Year Rating
Out of 499 Intermediate Core-Plus Bond funds
5-Year Rating
Out of 463 Intermediate Core-Plus Bond funds
10-Year Rating
Out of 355 Intermediate Core-Plus Bond funds

Morningstar Ratings (Class I-2) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 347 Multisector Bond funds
3-Year Rating
Out of 347 Multisector Bond funds
5-Year Rating
Out of 311 Multisector Bond funds
10-Year Rating
Out of 228 Multisector Bond funds

Morningstar Ratings (Class I-2) based on risk-adjusted returns as of 6/30/26

Overall Rating:
Out of 417 Intermediate Core Bond funds
3-Year Rating
Out of 417 Intermediate Core Bond funds
5-Year Rating
Out of 383 Intermediate Core Bond funds
10-Year Rating
N/A

INSIGHTS AND INVESTMENT IDEAS

Related Commentary on Corporate Credit
No items found.
No items found.
No items found.
No items found.

Fund Snapshot

Enhanced Diversification

The fund uses a fund-of-funds structure to diversify assets across multiple asset classes and product structures, offering a diversified asset allocation solution that stays current with today’s evolving asset allocation landscape.

Innovation

The funds seeks to strategically allocate assets to sectors/industries that may offer additional alpha through innovation and growth potential that has yet to be realized.

Income Strategy

The fund’s exposure to the two broad asset classes of debt and equity are expected to be within the following ranges: 70–85% debt and 15–30% equity.

Investment Management

Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Aristotle Investment Services, LLC is the manager of Aristotle Funds' Multi-Asset Funds. It relies on three core principles to guide its investment decisions: a balanced process, an integrated team, and a diversified approach. Through these principles, it provides one-step diversification solutions for a range of investor needs and objectives.
Carleton J. Muench, CFA
27 years of investment experience
Edward Sheng, PhD, CFA
13 years of investment experience
Sub-adviser: Pacific Life Fund Advisors, LLC
Investment Adviser: Aristotle Investment Services, LLC
Scroll horizontally to view tables
Please Upgrade Your Browser.

Unfortunately, Internet Explorer is an outdated browser and we do not support it. To have the best browsing experience, please upgrade to Google Chrome, Firefox or Safari.

Upgrade