Performance as of Month-End (5/31/2021)
    Annualized Returns
YTD 1
Year
3
Years
5
Years
10
Years
Since
Inception1
Aristotle Strategic Credit Fund 0.97% 8.94% 6.00% 5.52% n/a 4.74%
Aristotle Blended Benchmark2 1.25% 9.71% 5.95% 5.44% n/a 4.89%
Barclays U.S. High Yield Ba/B 2% Issuer Cap Index 1.62% 12.72% 7.60% 7.17% n/a 6.16%
Bloomberg Barclays Aggregate Bond Index3 -2.29% -0.40% 5.06% 3.25% n/a 3.16%
Performance as of Quarter-End (3/31/2021)
    Annualized Returns
QTD 1
Year
3
Years
5
Years
10
Years
Since
Inception1
Aristotle Strategic Credit Fund -0.13% 15.87% 5.65% 5.80% n/a 4.69%
Aristotle Blended Index2 0.05% 16.97% 5.66% 5.69% n/a 4.82%
Barclays U.S. High Yield Ba/B 2% Issuer Cap Index 0.34% 21.97% 7.27% 7.61% n/a 6.12%
Bloomberg Barclays Aggregate Bond Index3 -3.37% 0.71% 4.65% 3.10% n/a 3.06%