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Select
Fund
Share
Class
Share
Class
Incep.
Total Returns (%)
YTD
3-Month
1-Year
annualized Total Returns (%)
3-Year
5-Year
10-Year
Since Inception*
annualized Operating
Expenses (%)
Gross
Net
International & Global Equity
Daily
Multi-Asset
Daily
Equity
Daily
Fixed Income
Daily
ARIBX
Class I
10/30/2015
9.28
10.66
11.10
3.18
7.42
-
8.05
0.92
0.90
ARRQX
Class R6
8/31/2016
9.97
6.04
17.00
5.78
11.73
-
12.06
0.62
0.61
Aristotle Global Equity Fund
Nav
International & Global Equity
AIOOX
Class I-2
3/30/2012
7.46
4.71
11.84
3.59
9.58
-
6.88
7.52
0.79
0.78
Aristotle Global Equity Fund
Nav
International & Global Equity
ARIOX
Class I
3/30/2012
7.53
4.71
11.92
3.61
9.59
-
6.88
7.53
0.79
0.78
Aristotle Global Equity Fund
Mop
International & Global Equity
ARAOX
Class A
3/30/2012
2.77
0.13
6.82
1.85
8.36
-
6.15
6.88
1.04
1.04
Aristotle Global Equity Fund
Nav
International & Global Equity
ARAOX
Class A
3/30/2012
7.31
4.58
11.57
3.33
9.31
-
6.61
7.26
1.04
1.04
AIQQX
Class I-2
8/31/2016
9.91
6.04
16.90
5.69
11.64
-
11.97
0.70
0.69
ARIQX
Class I
8/31/2016
9.95
6.03
16.93
5.70
11.65
-
11.97
0.70
0.69
ARAQX
Class A
8/31/2016
5.09
1.39
11.59
3.91
10.39
-
11.08
0.95
0.95
PLUIX
Class I
6/28/2019
3.45
1.66
6.46
3.20
2.72
-
2.71
0.32
0.32
ARAQX
Class A
8/31/2016
9.72
5.90
16.57
5.42
11.36
-
11.69
0.95
0.95
PLUDX
Class I-2
6/28/2019
3.45
1.66
6.46
3.20
2.72
-
2.71
0.32
0.32
PLUAX
Class A
6/28/2019
1.15
1.42
6.02
2.66
-
2.61
0.57
0.57
PLSFX
Class I-2
12/19/2011
3.56
3.17
8.73
1.55
4.08
-
3.88
5.46
0.69
0.69
PLSRX
Class I
12/19/2011
3.64
3.22
8.76
1.59
4.15
-
3.92
5.52
0.59
0.59
PLCNX
Class C
12/19/2011
1.90
1.84
6.60
0.54
3.08
-
2.86
4.44
1.69
1.69
PLCNX
Class C
12/19/2011
2.90
2.84
7.60
0.54
3.08
-
2.86
4.44
1.69
1.69
PLSTX
Class A
12/19/2011
3.45
3.11
8.38
1.28
3.81
-
3.61
5.21
0.94
0.94
PLSTX
Class A
12/19/2011
-0.99
-1.27
3.74
-0.18
2.92
-
3.16
4.85
0.94
0.94
AIHHX
Class I-2
12/31/2014
10.41
8.82
12.73
0.15
6.08
-
6.84
0.90
0.90
ARIHX
Class I
12/31/2014
10.49
8.95
12.74
0.23
6.19
-
6.92
0.85
0.85
AISHX
Class C
12/31/2014
8.79
7.67
10.84
-0.86
5.04
-
5.79
1.90
1.90
AISHX
Class C
12/31/2014
9.79
8.67
11.56
-0.86
5.04
-
5.79
1.90
1.90
ARAHX
Class A
12/31/2014
5.79
4.13
7.75
-1.52
4.93
-
6.11
1.15
1.15
ARAHX
Class A
12/31/2014
10.42
8.78
12.51
-0.09
5.84
-
6.59
1.15
1.15
ARRBX
Class R6
10/20/2023
9.27
10.57
-
0.00
0.87
0.85
AIBBX
Class I-2
10/30/2015
9.28
10.66
11.10
3.18
7.42
-
8.05
0.92
0.90
AISBX
Class C
10/30/2015
7.63
9.40
8.93
2.10
6.29
-
6.92
1.92
1.92
AISBX
Class C
10/30/2015
8.63
10.40
9.93
2.10
6.29
-
6.92
1.92
1.92
PLCSX
Class C
12/19/2011
1.60
1.26
4.83
1.16
1.46
-
1.27
1.70
1.50
1.50
ARABX
Class A
10/30/2015
4.44
5.82
6.06
1.39
6.17
-
7.20
1.17
1.17
ARABX
Class A
10/30/2015
9.07
10.51
10.77
2.87
7.10
-
7.73
1.17
1.17
PLDSX
Class I-2
12/19/2011
3.18
2.50
6.87
2.14
2.48
-
2.29
2.70
0.49
0.49
PLSDX
Class I
12/19/2011
3.22
2.53
6.95
2.19
2.51
-
2.31
2.73
0.39
0.39
PLCSX
Class C
12/19/2011
2.60
2.26
5.83
1.16
1.46
-
1.27
1.70
1.50
1.50
PLADX
Class A
12/19/2011
-0.10
-0.62
3.33
0.86
1.61
-
1.71
2.21
0.75
0.75
PLADX
Class A
12/19/2011
2.95
2.44
6.53
1.89
2.23
-
2.03
2.45
0.75
0.75
POMDX
Class I-2
12/31/2003
7.86
5.33
11.48
0.87
6.26
-
5.78
6.01
0.87
0.87
POCAX
Class A
12/31/2003
7.68
5.31
11.26
0.61
6.00
-
5.52
5.87
1.12
1.12
POMCX
Class C
12/31/2003
6.25
4.09
9.40
-0.15
5.21
-
4.73
5.14
1.87
1.87
POMCX
Class C
12/31/2003
7.25
5.09
10.40
-0.15
5.21
-
4.73
5.14
1.87
1.87
POCAX
Class A
12/31/2003
1.77
-0.52
5.16
-1.28
4.82
-
4.93
5.58
1.12
1.12
PMCDX
Class I-2
12/31/2003
5.69
4.85
9.30
-0.20
4.40
-
4.32
4.87
0.89
0.89
POBAX
Class A
12/31/2003
-0.29
-1.04
2.96
-2.34
2.94
-
3.46
4.44
1.14
1.14
POBCX
Class C
12/31/2003
4.08
3.53
7.10
-1.20
3.34
-
3.27
4.00
1.89
1.89
POBCX
Class C
12/31/2003
5.08
4.53
8.10
-1.20
3.34
-
3.27
4.00
1.89
1.89
POBAX
Class A
12/31/2003
5.56
4.71
8.93
-0.47
4.11
-
4.05
4.72
1.14
1.14
PODCX
Class C
12/31/2003
7.62
4.75
10.61
0.68
6.45
-
5.77
5.77
1.84
1.84
PODCX
Class C
12/31/2003
8.62
5.75
11.61
0.68
6.45
-
5.77
5.77
1.84
1.84
PMADX
Class I-2
12/31/2003
9.27
6.02
12.66
1.70
7.50
-
6.83
6.64
0.84
0.84
PODAX
Class A
12/31/2003
3.10
0.08
6.18
-0.46
6.04
-
5.97
6.21
1.09
1.09
PODAX
Class A
12/31/2003
9.13
5.94
12.40
1.43
7.24
-
6.57
6.50
1.09
1.09
PLCDX
Class I-2
12/31/2003
4.11
4.11
7.67
-0.80
3.01
-
3.18
4.01
0.89
0.89
POACX
Class C
12/31/2003
2.46
2.80
5.59
-1.80
1.96
-
2.15
3.15
1.89
1.89
POACX
Class C
12/31/2003
3.46
3.80
6.59
-1.80
1.96
-
2.15
3.15
1.89
1.89
POCEX
Class C
12/31/2003
9.86
6.61
12.80
1.28
7.65
-
6.72
6.21
1.84
1.84
POAAX
Class A
12/31/2003
3.94
4.05
7.36
-1.07
2.75
-
2.92
3.87
1.14
1.14
POAAX
Class A
12/31/2003
-1.76
-1.67
1.47
-2.91
1.59
-
2.34
3.58
1.14
1.14
POEDX
Class I-2
12/31/2003
10.54
6.87
13.98
2.32
8.74
-
7.80
7.07
0.84
0.84
POCEX
Class C
12/31/2003
8.86
5.61
11.80
1.28
7.65
-
6.72
6.21
1.84
1.84
Aristotle International Equity Fund
Nav
International & Global Equity
ARIFX
Class I
3/31/2014
6.26
5.27
8.40
1.38
5.93
-
4.45
4.57
0.79
0.78
POEAX
Class A
12/31/2003
4.31
0.91
7.46
0.15
7.24
-
6.93
6.63
1.09
1.09
POEAX
Class A
12/31/2003
10.36
6.82
13.68
2.05
8.46
-
7.53
6.92
1.09
1.09
Aristotle International Equity Fund
Nav
International & Global Equity
AIFFX
Class I-2
3/31/2014
6.30
5.26
8.39
1.38
5.93
-
4.45
4.57
0.79
0.78
Aristotle International Equity Fund
Mop
International & Global Equity
ARAFX
Class A
3/31/2014
1.72
0.76
3.60
-0.30
4.76
-
3.74
3.88
1.04
1.04
Aristotle International Equity Fund
Nav
International & Global Equity
ARAFX
Class A
3/31/2014
6.20
5.25
8.17
1.14
5.68
-
4.20
4.31
1.04
1.04
PLHYX
Class I-2
12/19/2011
4.22
3.32
9.97
2.25
4.03
-
3.96
5.55
0.65
0.65
PLCHX
Class C
12/19/2011
3.73
3.08
8.89
1.24
3.00
-
2.93
4.52
1.70
1.70
PLHIX
Class I
12/19/2011
4.33
3.41
10.09
2.27
4.03
-
3.96
5.56
0.55
0.55
PLCHX
Class C
12/19/2011
2.73
2.08
7.89
1.24
3.00
-
2.93
4.52
1.70
1.70
PLAHX
Class A
12/19/2011
-0.18
-1.01
5.14
0.53
2.87
-
3.24
4.93
0.95
0.95
PLAHX
Class A
12/19/2011
4.20
3.37
9.85
2.01
3.76
-
3.69
5.29
0.95
0.95
ARIGX
Class I
9/28/2001
15.77
8.64
20.84
3.56
12.89
-
14.07
9.17
0.70
0.70
AIGGX
Class I-2
7/1/2010
15.77
8.57
20.84
3.56
12.89
-
14.07
14.75
0.70
0.70
ARAGX
Class A
7/1/2010
10.58
3.93
15.40
1.82
11.64
-
13.30
14.12
0.95
0.95
ARAGX
Class A
7/1/2010
15.55
8.56
20.56
3.30
12.62
-
13.79
14.47
0.95
0.95
PLFDX
Class I-2
6/30/2011
4.91
1.77
10.31
6.38
5.07
-
4.35
4.80
0.78
0.77
PLFRX
Class I
6/30/2011
4.96
1.79
10.39
6.44
5.13
-
4.40
4.85
0.70
0.70
PLFLX
Class A
6/30/2011
1.68
-1.19
6.76
5.04
4.16
-
3.77
4.30
1.03
1.02
PLBCX
Class C
6/30/2011
3.44
0.63
8.23
5.34
4.06
-
3.35
3.80
1.78
1.77
PLBCX
Class C
6/30/2011
4.44
1.62
9.23
5.34
4.06
-
3.35
3.80
1.78
1.77
PLFLX
Class A
6/30/2011
4.77
1.82
10.04
6.11
4.81
-
4.09
4.55
1.03
1.02
PLEBX
Class I
12/14/2020
1.32
3.88
4.71
-2.16
-
-1.84
0.48
0.48
PLEDX
Class I-2
12/14/2020
1.44
3.88
4.71
-2.16
-
-1.84
0.48
0.48
PLIDX
Class I-2
12/31/2010
1.78
3.73
5.47
-1.18
1.57
-
2.34
3.47
0.55
0.55
PLIIX
Class I
12/31/2010
1.91
3.87
5.60
-1.15
1.60
-
2.36
3.48
0.45
0.45
PLNCX
Class C
12/31/2010
0.20
2.49
3.40
-2.23
0.51
-
1.28
2.42
1.60
1.60
PLNCX
Class C
12/31/2010
1.19
3.49
4.40
-2.23
0.51
-
1.28
2.42
1.60
1.60
PLIAX
Class A
12/31/2010
-0.65
-0.58
4.27
-1.24
1.66
-
2.09
3.10
0.85
0.85
PLIAX
Class A
12/31/2010
-4.85
-4.77
-0.20
-2.67
0.79
-
1.65
2.76
0.85
0.85
AILLX
Class I-2
3/31/2017
16.90
7.53
20.97
6.48
13.35
-
13.73
0.66
0.65
ARILX
Class I
3/31/2017
16.84
7.47
20.93
6.46
13.34
-
13.72
0.66
0.65
ARALX
Class A
3/31/2017
16.77
7.47
18.59
5.60
12.67
-
13.18
0.91
0.91
ARALX
Class A
3/31/2017
11.83
2.88
13.57
4.07
11.70
-
12.51
0.91
0.91
International & Global Equity
Monthly
Multi-Asset
Monthly
Equity
Monthly
Fixed Income
Monthly
ARRQX
Class R6
8/31/2016
5.68
0.00
16.93
4.86
11.40
11.61
0.62
0.61
ARIBX
Class I
10/30/2015
2.15
-1.80
6.91
0.05
5.69
7.28
0.92
0.90
ARIQX
Class I
8/31/2016
5.64
0.00
16.83
4.78
11.32
11.52
0.70
0.69
Aristotle Global Equity Fund
Mop
International & Global Equity
ARAOX
Class A
3/30/2012
0.45
-5.48
7.44
1.38
8.01
5.88
6.72
1.04
1.04
Aristotle Global Equity Fund
Nav
International & Global Equity
ARAOX
Class A
3/30/2012
4.90
-1.30
12.21
2.86
8.94
6.34
7.10
1.04
1.04
Aristotle Global Equity Fund
Nav
International & Global Equity
ARIOX
Class I
3/30/2012
5.04
-1.30
12.51
3.12
9.22
6.61
7.37
0.79
0.78
ARAQX
Class A
8/31/2016
5.51
0.00
16.55
4.52
11.04
11.24
0.95
0.95
ARAQX
Class A
8/31/2016
1.06
-4.27
11.62
3.02
10.09
10.63
0.95
0.95
Aristotle International Equity Fund
Nav
International & Global Equity
ARAFX
Class A
3/31/2014
2.40
-2.66
7.56
0.13
4.92
3.64
3.97
1.04
1.04
Aristotle International Equity Fund
Nav
International & Global Equity
ARIFX
Class I
3/31/2014
2.43
-2.66
7.78
0.37
5.18
3.90
4.23
0.79
0.78
Aristotle International Equity Fund
Mop
International & Global Equity
ARAFX
Class A
3/31/2014
-1.92
-6.82
2.95
-1.31
4.01
3.20
3.54
1.04
1.04
ARALX
Class A
3/31/2017
12.85
-0.30
18.59
5.40
12.63
12.78
0.91
0.91
ARALX
Class A
3/31/2017
17.83
4.13
23.83
6.94
13.61
13.46
0.91
0.91
ARILX
Class I
3/31/2017
17.96
4.20
26.37
7.84
14.30
14.02
0.66
0.65
AIGGX
Class I-2
7/1/2010
18.97
6.87
27.48
6.21
14.39
14.51
15.06
0.70
0.70
ARAGX
Class A
7/1/2010
13.72
2.30
21.83
4.44
13.13
13.74
14.42
0.95
0.95
ARAGX
Class A
7/1/2010
18.83
6.89
27.25
5.97
14.12
14.23
14.78
0.95
0.95
Aristotle Global Equity Fund
Nav
International & Global Equity
AIOOX
Class I-2
3/30/2012
5.04
-1.30
12.51
3.12
9.22
6.61
7.37
0.79
0.78
AIQQX
Class I-2
8/31/2016
5.62
-0.05
16.82
4.78
11.31
11.52
0.70
0.69
PLUIX
Class I
6/28/2019
2.95
0.44
6.42
3.04
2.65
2.65
0.32
0.32
PLUDX
Class I-2
6/28/2019
2.95
0.44
6.42
3.05
2.66
2.65
0.32
0.32
PLUAX
Class A
6/28/2019
0.87
0.42
5.89
2.55
2.58
0.57
0.57
PLCNX
Class C
12/19/2011
0.83
-0.43
6.31
0.24
2.92
2.72
4.38
1.69
1.69
PLSFX
Class I-2
12/19/2011
2.29
0.64
8.34
1.22
3.92
3.72
5.39
0.69
0.69
PLSRX
Class I
12/19/2011
2.45
0.65
8.47
1.32
3.99
3.79
5.45
0.59
0.59
PLCNX
Class C
12/19/2011
1.82
0.57
7.31
0.24
2.92
2.72
4.38
1.69
1.69
PLSTX
Class A
12/19/2011
-2.11
-3.64
3.52
-0.48
2.77
3.02
4.78
0.94
0.94
PLSTX
Class A
12/19/2011
2.27
0.62
8.10
0.98
3.67
3.46
5.14
0.94
0.94
AIHHX
Class I-2
12/31/2014
3.96
-1.53
9.57
-2.66
5.18
6.22
0.90
0.90
ARABX
Class A
10/30/2015
2.03
-1.75
6.65
-0.24
5.39
6.97
1.17
1.17
ARIHX
Class I
12/31/2014
3.96
-1.57
9.61
-2.59
5.27
6.29
0.85
0.85
AISHX
Class C
12/31/2014
2.44
-2.62
7.80
-3.65
4.13
5.17
1.90
1.90
AISHX
Class C
12/31/2014
3.44
-1.63
8.50
-3.65
4.13
5.17
1.90
1.90
ARAHX
Class A
12/31/2014
-0.43
-5.75
4.71
-4.31
4.01
5.49
1.15
1.15
ARAHX
Class A
12/31/2014
3.93
-1.57
9.38
-2.92
4.91
5.96
1.15
1.15
ARRBX
Class R6
10/20/2023
2.21
-1.77
0.00
0.87
0.85
AIBBX
Class I-2
10/30/2015
2.15
-1.80
6.91
0.05
5.69
7.28
0.92
0.90
AISBX
Class C
10/30/2015
0.60
-2.83
4.77
-1.01
4.58
6.16
1.92
1.92
AISBX
Class C
10/30/2015
1.60
-1.84
5.77
-1.01
4.58
6.16
1.92
1.92
ARABX
Class A
10/30/2015
-2.30
-5.92
2.11
-1.67
4.48
6.43
1.17
1.17
PLDSX
Class I-2
12/19/2011
2.17
0.59
6.46
1.84
2.32
2.18
2.64
0.49
0.49
PLCSX
Class C
12/19/2011
0.69
-0.49
4.42
0.86
1.32
1.17
1.64
1.50
1.50
PLSDX
Class I
12/19/2011
2.21
0.60
6.54
1.89
2.35
2.21
2.66
0.39
0.39
PLCSX
Class C
12/19/2011
1.69
0.51
5.42
0.86
1.32
1.17
1.64
1.50
1.50
PLADX
Class A
12/19/2011
-1.08
-2.52
2.92
0.56
1.45
1.60
2.14
0.75
0.75
PLADX
Class A
12/19/2011
1.95
0.47
6.12
1.59
2.07
1.92
2.39
0.75
0.75
POMDX
Class I-2
12/31/2003
6.66
1.59
12.56
0.73
6.29
5.69
5.98
0.87
0.87
POMCX
Class C
12/31/2003
6.07
1.50
11.41
-0.27
5.23
4.64
5.10
1.87
1.87
POMCX
Class C
12/31/2003
5.07
0.50
10.41
-0.27
5.23
4.64
5.10
1.87
1.87
POCAX
Class A
12/31/2003
0.71
-3.97
6.16
-1.38
4.85
4.84
5.55
1.12
1.12
PMCDX
Class I-2
12/31/2003
4.19
1.06
9.52
-0.47
4.25
4.20
4.81
0.89
0.89
POCAX
Class A
12/31/2003
6.55
1.61
12.34
0.50
6.03
5.44
5.84
1.12
1.12
POBCX
Class C
12/31/2003
3.70
1.03
8.41
-1.48
3.21
3.17
3.95
1.89
1.89
POBCX
Class C
12/31/2003
2.70
0.03
7.41
-1.48
3.21
3.17
3.95
1.89
1.89
POBAX
Class A
12/31/2003
-1.72
-4.55
3.17
-2.59
2.80
3.34
4.38
1.14
1.14
PMADX
Class I-2
12/31/2003
7.60
1.48
13.88
1.42
7.51
6.69
6.59
0.84
0.84
POBAX
Class A
12/31/2003
4.04
0.98
9.14
-0.75
3.96
3.93
4.67
1.14
1.14
PODCX
Class C
12/31/2003
6.03
0.33
11.76
0.41
6.43
5.64
5.71
1.84
1.84
PODCX
Class C
12/31/2003
7.03
1.33
12.76
0.41
6.43
5.64
5.71
1.84
1.84
PODAX
Class A
12/31/2003
1.51
-4.19
7.38
-0.71
6.03
5.83
6.15
1.09
1.09
PODAX
Class A
12/31/2003
7.45
1.42
13.63
1.17
7.23
6.43
6.44
1.09
1.09
PLCDX
Class I-2
12/31/2003
2.77
1.01
7.51
-1.06
2.84
3.08
3.96
0.89
0.89
POACX
Class C
12/31/2003
1.27
-0.15
5.51
-2.04
1.80
2.06
3.10
1.89
1.89
POAAX
Class A
12/31/2003
2.70
0.92
7.29
-1.30
2.58
2.82
3.82
1.14
1.14
POACX
Class C
12/31/2003
2.27
0.85
6.51
-2.04
1.80
2.06
3.10
1.89
1.89
POAAX
Class A
12/31/2003
-2.94
-4.62
1.34
-3.15
1.43
2.25
3.53
1.14
1.14
POEDX
Class I-2
12/31/2003
8.41
1.61
15.23
1.93
8.72
7.61
7.00
0.84
0.84
POCEX
Class C
12/31/2003
6.80
0.43
12.98
0.90
7.62
6.53
6.14
1.84
1.84
POEAX
Class A
12/31/2003
2.27
-4.04
8.55
-0.25
7.21
6.73
6.55
1.09
1.09
POCEX
Class C
12/31/2003
7.80
1.43
13.98
0.90
7.62
6.53
6.14
1.84
1.84
POEAX
Class A
12/31/2003
8.20
1.56
14.83
1.65
8.42
7.33
6.85
1.09
1.09
Aristotle International Equity Fund
Nav
International & Global Equity
AIFFX
Class I-2
3/31/2014
2.51
-2.67
7.80
0.37
5.18
3.90
4.23
0.79
0.78
PLHYX
Class I-2
12/19/2011
2.67
0.83
9.66
1.84
3.82
3.76
5.46
0.65
0.65
PLHIX
Class I
12/19/2011
2.65
0.85
9.65
1.78
3.78
3.74
5.46
0.55
0.55
PLCHX
Class C
12/19/2011
2.18
0.75
8.45
0.80
2.78
2.73
4.43
1.70
1.70
PLCHX
Class C
12/19/2011
1.19
-0.25
7.45
0.80
2.78
2.73
4.43
1.70
1.70
PLAHX
Class A
12/19/2011
-1.77
-3.47
4.67
0.05
2.64
3.03
4.82
0.95
0.95
PLAHX
Class A
12/19/2011
2.54
0.81
9.30
1.53
3.53
3.48
5.18
0.95
0.95
AIGGX
Class I-2
1/16/2024
18.51
6.87
0.00
0.70
0.70
ARIGX
Class I
9/28/2001
18.97
6.87
27.48
6.21
14.39
14.51
9.33
0.70
0.70
PLFDX
Class I-2
6/30/2011
4.32
0.26
11.11
6.16
5.08
4.31
4.78
0.78
0.77
PLFRX
Class I
6/30/2011
4.36
0.37
11.20
6.22
5.17
4.36
4.83
0.70
0.70
PLBCX
Class C
6/30/2011
2.81
-0.82
8.91
5.13
4.07
3.29
3.77
1.78
1.77
PLBCX
Class C
6/30/2011
3.81
0.18
9.91
5.13
4.07
3.29
3.77
1.78
1.77
PLFLX
Class A
6/30/2011
1.01
-2.82
7.41
4.83
4.18
3.73
4.28
1.03
1.02
PLFLX
Class A
6/30/2011
4.08
0.24
10.73
5.89
4.83
4.04
4.52
1.03
1.02
PLEDX
Class I-2
12/14/2020
0.03
0.86
3.62
-2.38
-2.26
0.48
0.48
PLEBX
Class I
12/14/2020
-0.08
0.86
3.62
-2.38
-2.26
0.48
0.48
PLIDX
Class I-2
12/31/2010
0.52
0.80
4.60
-1.39
1.38
2.22
3.39
0.55
0.55
PLIIX
Class I
12/31/2010
0.54
0.81
4.62
-1.42
1.36
2.23
3.40
0.45
0.45
PLNCX
Class C
12/31/2010
-0.94
-0.17
2.54
-2.43
0.32
1.17
2.34
1.60
1.60
PLNCX
Class C
12/31/2010
0.04
0.83
3.54
-2.43
0.32
1.17
2.34
1.60
1.60
PLIAX
Class A
12/31/2010
-5.15
-5.20
0.39
-3.18
0.91
1.58
2.75
0.85
0.85
PLIAX
Class A
12/31/2010
-0.96
-1.00
4.82
-1.78
1.79
2.02
3.09
0.85
0.85
AILLX
Class I-2
3/31/2017
17.97
4.15
26.34
7.84
14.29
14.01
0.66
0.65
International & Global Equity
Quarterly
Multi-Asset
Quarterly
Equity
Quarterly
Fixed Income
Quarterly
ARIBX
Class I
10/30/2015
2.15
-1.80
6.91
0.05
5.69
7.28
0.90
0.90
ARRQX
Class R6
8/31/2016
5.68
0.00
16.93
4.86
11.40
11.61
Aristotle Global Equity Fund
Nav
International & Global Equity
AIOOX
Class I-2
3/30/2012
5.04
-1.30
12.51
3.12
9.22
6.61
7.37
Aristotle Global Equity Fund
Nav
International & Global Equity
ARIOX
Class I
3/30/2012
5.04
-1.30
12.51
3.12
9.22
6.61
7.37
Aristotle Global Equity Fund
Mop
International & Global Equity
ARAOX
Class A
3/30/2012
0.45
-5.48
7.44
1.38
8.01
5.88
6.72
Aristotle Global Equity Fund
Nav
International & Global Equity
ARAOX
Class A
3/30/2012
4.90
-1.30
12.21
2.86
8.94
6.34
7.10
AIQQX
Class I-2
8/31/2016
5.62
-0.05
16.82
4.78
11.31
11.52
ARIQX
Class I
8/31/2016
5.64
0.00
16.83
4.78
11.32
11.52
ARAQX
Class A
8/31/2016
5.51
0.00
16.55
4.52
11.04
11.24
ARAQX
Class A
8/31/2016
1.06
-4.27
11.62
3.02
10.09
10.63
AISBX
Class C
10/30/2015
0.60
-2.83
4.77
-1.01
4.58
6.16
1.90
1.90
AIBBX
Class I-2
10/30/2015
2.15
-1.80
6.91
0.05
5.69
7.28
ARRBX
Class R6
10/20/2023
2.21
-1.77
0.00
0.85
0.85
AISBX
Class C
10/30/2015
1.60
-1.84
5.77
-1.01
4.58
6.16
1.90
1.90
ARABX
Class A
10/30/2015
-2.30
-5.92
2.11
-1.67
4.48
6.43
1.15
1.15
ARABX
Class A
10/30/2015
2.03
-1.75
6.65
-0.24
5.39
6.97
1.15
1.15
Aristotle International Equity Fund
Nav
International & Global Equity
ARIFX
Class I
3/31/2014
2.43
-2.66
7.78
0.37
5.18
3.90
4.23
0.78
0.78
Aristotle International Equity Fund
Nav
International & Global Equity
AIFFX
Class I-2
3/31/2014
2.51
-2.67
7.80
0.37
5.18
3.90
4.23
Aristotle International Equity Fund
Nav
International & Global Equity
ARAFX
Class A
3/31/2014
2.40
-2.66
7.56
0.13
4.92
3.64
3.97
Aristotle International Equity Fund
Mop
International & Global Equity
ARAFX
Class A
3/31/2014
-1.92
-6.82
2.95
-1.31
4.01
3.20
3.54
AIGGX
Class I-2
7/1/2010
18.97
6.87
27.48
6.21
14.39
14.51
15.06
ARAGX
Class A
7/1/2010
18.83
6.89
27.25
5.97
14.12
14.23
14.78
ARAGX
Class A
7/1/2010
13.72
2.30
21.83
4.44
13.13
13.74
14.42
AILLX
Class I-2
3/31/2017
17.97
4.15
26.34
7.84
14.29
14.01
ARILX
Class I
3/31/2017
17.96
4.20
26.37
7.84
14.30
14.02
0.65
0.65
ARALX
Class A
3/31/2017
12.85
-0.30
18.59
5.40
12.63
12.78
ARALX
Class A
3/31/2017
17.83
4.13
23.83
6.94
13.61
13.46
PLUIX
Class I
6/28/2019
2.95
0.44
6.42
3.04
2.65
2.65
0.32
0.32
PLUDX
Class I-2
6/28/2019
2.95
0.44
6.42
3.05
2.66
2.65
0.32
0.32
PLUAX
Class A
6/28/2019
5.97
0.75
5.97
2.37
2.48
0.57
0.57
PLSFX
Class I-2
12/19/2011
2.29
0.64
8.34
1.22
3.92
3.72
5.39
0.69
0.69
PLSRX
Class I
12/19/2011
2.45
0.65
8.47
1.32
3.99
3.79
5.45
0.64
0.64
PLCNX
Class C
12/19/2011
0.83
-0.43
6.31
0.24
2.92
2.72
4.38
1.69
1.69
PLCNX
Class C
12/19/2011
1.82
0.57
7.31
0.24
2.92
2.72
4.38
1.69
1.69
PLSTX
Class A
12/19/2011
-2.11
-3.64
3.52
-0.48
2.77
3.02
4.78
0.94
0.94
PLSTX
Class A
12/19/2011
2.27
0.62
8.10
0.98
3.67
3.46
5.14
0.94
0.94
AIHHX
Class I-2
12/31/2014
3.96
-1.53
9.57
-2.66
5.18
6.22
0.90
0.90
ARIHX
Class I
12/31/2014
3.96
-1.57
9.61
-2.59
5.27
6.29
0.85
0.85
AISHX
Class C
12/31/2014
3.44
-1.63
8.50
-3.65
4.13
5.17
1.90
1.90
AISHX
Class C
12/31/2014
2.44
-2.62
7.80
-3.65
4.13
5.17
1.90
1.90
ARAHX
Class A
12/31/2014
-0.43
-5.75
4.71
-4.31
4.01
5.49
1.15
1.15
ARAHX
Class A
12/31/2014
3.93
-1.57
9.38
-2.92
4.91
5.96
1.15
1.15
PLSDX
Class I
12/19/2011
2.21
0.60
6.54
1.89
2.35
2.21
2.66
0.45
0.45
PLDSX
Class I-2
12/19/2011
2.17
0.59
6.46
1.84
2.32
2.18
2.64
0.50
0.50
PLCSX
Class C
12/19/2011
0.69
-0.49
4.42
0.86
1.32
1.17
1.64
1.50
1.50
PLCSX
Class C
12/19/2011
1.69
0.51
5.42
0.86
1.32
1.17
1.64
1.50
1.50
PLADX
Class A
12/19/2011
1.95
0.47
6.12
1.59
2.07
1.92
2.39
0.75
0.75
PLADX
Class A
12/19/2011
-1.08
-2.52
2.92
0.56
1.45
1.60
2.14
0.75
0.75
POMDX
Class I-2
12/31/2003
6.66
1.59
12.56
0.73
6.29
5.69
5.98
0.87
0.87
POMCX
Class C
12/31/2003
6.07
1.50
11.41
-0.27
5.23
4.64
5.10
1.87
1.87
POCAX
Class A
12/31/2003
6.55
1.61
12.34
0.50
6.03
5.44
5.84
1.12
1.12
POMCX
Class C
12/31/2003
5.07
0.50
10.41
-0.27
5.23
4.64
5.10
1.87
1.87
POCAX
Class A
12/31/2003
0.71
-3.97
6.16
-1.38
4.85
4.84
5.55
1.12
1.12
PMCDX
Class I-2
12/31/2003
4.19
1.06
9.52
-0.47
4.25
4.20
4.81
0.89
0.89
POBCX
Class C
12/31/2003
3.70
1.03
8.41
-1.48
3.21
3.17
3.95
1.89
1.89
POBCX
Class C
12/31/2003
2.70
0.03
7.41
-1.48
3.21
3.17
3.95
1.89
1.89
POBAX
Class A
12/31/2003
4.04
0.98
9.14
-0.75
3.96
3.93
4.67
1.14
1.14
POBAX
Class A
12/31/2003
-1.72
-4.55
3.17
-2.59
2.80
3.34
4.38
1.14
1.14
PMADX
Class I-2
12/31/2003
7.60
1.48
13.88
1.42
7.51
6.69
6.59
0.84
0.84
PODCX
Class C
12/31/2003
6.03
0.33
11.76
0.41
6.43
5.64
5.71
1.84
1.84
PODCX
Class C
12/31/2003
7.03
1.33
12.76
0.41
6.43
5.64
5.71
1.84
1.84
PODAX
Class A
12/31/2003
7.45
1.42
13.63
1.17
7.23
6.43
6.44
1.09
1.09
PODAX
Class A
12/31/2003
1.51
-4.19
7.38
-0.71
6.03
5.83
6.15
1.09
1.09
PLCDX
Class I-2
12/31/2003
2.77
1.01
7.51
-1.06
2.84
3.08
3.96
0.89
0.89
POACX
Class C
12/31/2003
2.27
0.85
6.51
-2.04
1.80
2.06
3.10
1.89
1.89
POAAX
Class A
12/31/2003
2.70
0.92
7.29
-1.30
2.58
2.82
3.82
1.14
1.14
POACX
Class C
12/31/2003
1.27
-0.15
5.51
-2.04
1.80
2.06
3.10
1.89
1.89
POAAX
Class A
12/31/2003
-2.94
-4.62
1.34
-3.15
1.43
2.25
3.53
1.14
1.14
POEDX
Class I-2
12/31/2003
8.41
1.61
15.23
1.93
8.72
7.61
7.00
0.84
0.84
POCEX
Class C
12/31/2003
7.80
1.43
13.98
0.90
7.62
6.53
6.14
1.84
1.84
POEAX
Class A
12/31/2003
8.20
1.56
14.83
1.65
8.42
7.33
6.85
1.09
1.09
POCEX
Class C
12/31/2003
6.80
0.43
12.98
0.90
7.62
6.53
6.14
1.84
1.84
PLHYX
Class I-2
12/19/2011
2.67
0.83
9.66
1.84
3.82
3.76
5.46
0.70
0.70
POEAX
Class A
12/31/2003
2.27
-4.04
8.55
-0.25
7.21
6.73
6.55
1.09
1.09
PLCHX
Class C
12/19/2011
1.19
-0.25
7.45
0.80
2.78
2.73
4.43
1.70
1.70
PLHIX
Class I
12/19/2011
2.65
0.85
9.65
1.78
3.78
3.74
5.46
0.65
0.65
PLCHX
Class C
12/19/2011
2.18
0.75
8.45
0.80
2.78
2.73
4.43
1.70
1.70
PLAHX
Class A
12/19/2011
-1.77
-3.47
4.67
0.05
2.64
3.03
4.82
0.95
0.95
PLAHX
Class A
12/19/2011
2.54
0.81
9.30
1.53
3.53
3.48
5.18
0.95
0.95
ARIGX
Class I
9/28/2001
18.97
6.87
27.48
6.21
14.39
14.51
9.33
0.70
0.70
PLFDX
Class I-2
6/30/2011
4.32
0.26
11.11
6.16
5.08
4.31
4.78
0.78
0.77
PLFRX
Class I
6/30/2011
4.36
0.37
11.20
6.22
5.17
4.36
4.83
0.70
0.70
PLBCX
Class C
6/30/2011
2.81
-0.82
8.91
5.13
4.07
3.29
3.77
1.78
1.77
PLBCX
Class C
6/30/2011
3.81
0.18
9.91
5.13
4.07
3.29
3.77
1.78
1.77
PLFLX
Class A
6/30/2011
1.01
-2.82
7.41
4.83
4.18
3.73
4.28
1.03
1.02
PLFLX
Class A
6/30/2011
4.08
0.24
10.73
5.89
4.83
4.04
4.52
1.03
1.02
PLEDX
Class I-2
12/14/2020
0.03
0.86
3.62
-2.38
-2.26
0.48
0.48
PLEBX
Class I
12/14/2020
-0.08
0.86
3.62
-2.38
-2.26
0.48
0.48
PLNCX
Class C
12/31/2010
-0.94
-0.17
2.54
-2.43
0.32
1.17
2.34
1.60
1.60
PLIDX
Class I-2
12/31/2010
0.52
0.80
4.60
-1.39
1.38
2.22
3.39
0.55
0.55
PLIIX
Class I
12/31/2010
0.54
0.81
4.62
-1.42
1.36
2.23
3.40
0.55
0.55
PLNCX
Class C
12/31/2010
0.04
0.83
3.54
-2.43
0.32
1.17
2.34
1.60
1.60
PLIAX
Class A
12/31/2010
3.32
-0.85
3.32
-3.40
1.63
1.92
2.86
0.85
0.85
PLIAX
Class A
12/31/2010
7.94
3.57
7.94
-2.00
2.51
2.37
3.20
0.85
0.85
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Performance data quoted represents past performance, which does not guarantee future results. Current performance may be lower or higher than the performance quoted. The investment return and principal value of an investment will fluctuate so that shares, when redeemed, may be worth more or less than the original cost.

Class A shares of all Aristotle Equity Funds, Aristotle Core Income Fund, Aristotle High Yield Bond Fund, and Aristotle Strategic Income Fund have a maximum 4.25% sales charge.

Class A shares of Aristotle Floating Rate Income Fund and Aristotle Short Duration Income Fund have a maximum 3.00% sales charge.

Class A shares of the Portfolio Optimization Funds have a maximum 5.50% sales charge.

Class C shares of the Aristotle Small/Mid Cap Equity and the Aristotle Small Cap Equity Fund, each Multi-Asset Fund, and each Fixed-Income Fund, if redeemed within one year from purchase, may be subject to a 1.00% contingent deferred sales charge (CDSC).

Class I-2, ClassI-3 and Class R6 shares are sold at NAV without an initial sales charge and do not include a contingent deferred sales charge (CDSC).

Class I shares of the Fixed-Income Funds are sold at NAV without an initial sales charge and do not include a contingent deferred sales charge (CDSC).

Where a sales charge is illustrated, it is applied at the beginning of the period.

The Fund's annual operating expenses are contractual through 7/31/26 and there is no guarantee that the investment adviser will continue to cap expenses after the expiration date. Please see the current prospectus for detailed information. Gross Expense Ratio reflects the total annual operating expenses paid by the Fund. Net Expense Ratio reflects waivers, reductions, reimbursements, and the limitation of certain "Other Expenses." Expense caps and/or fee waivers are reevaluated annually.

Fund Incep. annualized return, 1-, 3-, 5-, and 10-year (as applicable) represents the performance of the Share Class as of the fund inception date which may differ from the Share Class inception date shown.

All Fund performance information shown in the table above is the performance of the relevant predecessor fund that reorganized with and into such Fund on April 17, 2023 or October 20, 2023(each, a “Reorganization”). Each predecessor fund was managed using investment policies, objectives, guidelines and restrictions that were substantially similar to those of the corresponding Fund. Prior to April 17, 2023, none of the Funds had commenced operations. Aristotle Portfolio Optimization Conservative Fund, Aristotle Portfolio Optimization Moderate Conservative Fund, Aristotle Portfolio Optimization Moderate Fund, Aristotle Portfolio Optimization Growth Fund, Aristotle Portfolio Optimization Aggressive Growth Fund, Aristotle Ultra Short Fund, Aristotle Short Duration Fund, Aristotle Core Income Fund, Aristotle ESG Core Bond Fund, Aristotle Strategic Income Fund, Aristotle Floating Rate Income Fund, Aristotle High Yield Bond Fund, Aristotle Small/Mid Cap Equity Fund, Aristotle Small Cap Equity Fund and Aristotle Growth Equity Fund each commenced operations on April 17, 2023 in connection with the Reorganization with the corresponding predecessor funds that occurred on April14, 2023.   Aristotle International Equity Fund and Aristotle Core Equity Fund commenced operations on April 17,2023. Aristotle International Equity Fund, Aristotle Core Equity Fund and Aristotle Small Cap Equity Fund were merged with the corresponding predecessor funds in the Reorganization that occurred on October 20, 2023. Aristotle Value Equity Fund and Aristotle/Saul Global Equity Fund commenced operations on October 23,2023 in connection with the Reorganization with corresponding predecessor funds that occurred on October 20, 2023.

Aristotle Core Income Fund incepted on 12/31/2010. Aristotle Floating Rate Income Fund incepted on 6/30/2011. Aristotle Strategic Income Fund, Aristotle High Yield Bond Fund, and Aristotle Short Duration Income Fund incepted on 12/19/2011. Performance shown prior to the share inception date shown is hypothetical and is that of Class I shares, restated to reflect the higher service/12B-1 fees, fee waivers and/or expense reimbursements for the share class reported.

MOP: Maximum Offering Price returns reflect the deduction of an up-front sales load or a contingent deferred sales charge (CDSC) as applicable.
NAV: Net Asset Value returns do not reflect the deduction of an up-front sales load or contingent deferred sales charge (CDSC).  If a sales charge had been deducted, the results would have been lower.

All Funds and share classes may not be sold at all firms, and not all investors may be eligible for all share classes.

You should consider a fund's investment goal, risks, charges and expenses carefully before investing. The prospectus and/or the applicable summary prospectus contain this and other information about the fund and are available from your financial advisor or AristotleFunds.com. The prospectus and/or summary prospectus should be read carefully before investing. Returns reflect reinvestment of dividends and distributions. Visit AristotleFunds.com/performance for performance data current to the most recent month-end.

Investing involves risk. Principal loss is possible.

Foreside Financial Services, LLC, distributor.

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