Aristotle Strategic Income Fund Class C is an actively managed mutual fund focused on multisector fixed income. Its primary objective is to deliver a high level of current income, with a secondary goal of capital appreciation, by investing principally in income‑producing debt instruments across credit qualities and sectors. The strategy is research‑driven with a foundation in corporate credit, and it tactically allocates among investment‑grade, high‑yield, securitized, and other bond markets to complement traditional core bond exposures. The fund’s profile emphasizes relatively low interest‑rate sensitivity while taking on meaningful corporate credit exposure, seeking to balance income generation and risk across market cycles. As a Class C share, it carries a level‑load fee structure and an above‑average ongoing expense ratio, paired with an average distribution fee level. Key characteristics include a multisector bond category placement, moderate effective duration, and a focus on security selection to source income opportunities. The fund targets investors seeking diversified bond market access with an emphasis on credit‑driven income within an actively managed framework.
Based on technical indicators and chart patterns, PLCNX shows...
Market sentiment analysis indicates...