Performance as of Month-End (9/30/2021)
    Annualized Returns
YTD 1
Year
3
Years
5
Years
10
Years
Since
Inception1
Aristotle Strategic Credit Fund 2.43% 5.53% 6.01% 4.96% n/a 4.72%
Aristotle Blended Benchmark2 2.68% 6.47% 5.84% 4.95% n/a 4.86%
Barclays U.S. High Yield Ba/B 2% Issuer Cap Index 3.86% 9.80% 7.48% 6.44% n/a 6.19%
Bloomberg Barclays Aggregate Bond Index3 -0.50% -0.70% 5.73% 3.13% n/a 3.36%
Performance as of Quarter-End (9/30/2021)
    Annualized Returns
QTD 1
Year
3
Years
5
Years
10
Years
Since
Inception1
Aristotle Strategic Credit Fund 0.79% 5.53% 6.01% 4.96% n/a 4.72%
Aristotle Blended Index2 0.71% 6.47% 5.84% 4.95% n/a 4.86%
Barclays U.S. High Yield Ba/B 2% Issuer Cap Index 0.92% 9.80% 7.48% 6.44% n/a 6.19%
Bloomberg Barclays Aggregate Bond Index3 1.83% -0.33% 5.34% 3.03% n/a 3.23%