NATIXIS U.S. MULTI-CAP EQUITY FUND CLASS B (NESBX) Exchange: NMFQS

Data as of Aug. 22, 2025

$18.47 ($0.04) 0.22%

NATIXIS U.S. MULTI-CAP EQUITY FUND CLASS B - Daily Information
Click for more stock information on NATIXIS U.S. MULTI-CAP EQUITY FUND CLASS B.
Daily Information Data
Date Aug. 22, 2025
Open $18.47
Previous Close $18.47
High $18.47
Low $18.47
Adjusted Open $18.47
Previous Adjusted Close $18.47
Adjusted High $18.47
Adjusted Low $18.47

About NATIXIS U.S. MULTI-CAP EQUITY FUND CLASS B (NESBX)

DELISTED - The Fund ordinarily invests at least 80% of its net assets (plus any borrowings made for investment purposes) in equity securities, including common stocks and preferred stocks. Under normal market conditions, the Fund will invest at least 80% of its net assets (plus any borrowings made for investment purposes) in securities of U.S. issuers. The Fund's approach to equity investing combines the styles of two subadvisers in selecting securities for each of the Fund's segments. The segments and their subadvisers are listed below.Harris Associates - Large Cap Value segment - Under normal circumstances, the Large Cap Value segment of the Fund managed by Harris Associates L.P. ("Harris Associates") will invest primarily in the common stocks of larger- capitalization companies that Harris Associates believes are trading at a substantial discount to the company's "true business value." By "true business value," Harris Associates means its estimate of the price a knowledgeable buyer would pay to acquire the entire business. Harris Associates believes that investing in securities priced significantly below their true business value presents the best opportunity to achieve the Fund's investment objectives. Harris Associates usually sells a security when the price approaches its estimated worth and monitors each holding and adjusts its price targets as warranted to reflect changes in the issuer's fundamentals.Loomis Sayles - All Cap Growth segment - Under normal circumstances, the All Cap Growth segment of the Fund, managed by Loomis, Sayles & Company, L.P. ("Loomis Sayles"), will invest primarily in equity securities, including common stocks, preferred stocks, convertible securities and warrants. This segment may invest in companies of any size. The segment normally invests across a wide range of sectors and industries. The segment's portfolio manager employs a growth style of equity management that emphasizes companies with sustainable competitive advantages, long-term secular and profitable cash flow growth and management teams focused on creating long-term value for shareholders. The segment's portfolio manager aims to invest in companies when they trade at a significant discount to the estimate of intrinsic value. The segment will consider selling a portfolio investment when the portfolio manager believes an unfavorable structural change occurs within a given business or the markets in which it operates, a critical underlying investment assumption is flawed, when a more attractive reward-to-risk opportunity becomes available, when the portfolio manager believes the current price fully reflects intrinsic value, or for other investment reasons which the portfolio manager deems appropriate.Subject to the allocation policy adopted by the Fund's Board of Trustees, NGAM Advisors, L.P. ("NGAM Advisors") generally allocates capital invested in the Fund equally (i.e., 50%) between its two segments. Under the allocation policy, NGAM Advisors may also allocate capital away from or towards each segment from time to time and may reallocate capital between the segments. Each subadviser manages its segment of the Fund's assets in accordance with its distinct investment style and strategy.The Fund may also:Invest in securities offered in initial public offerings ("IPOs") and securities issued pursuant to Rule 144A under the Securities Act of 1933 ("Rule 144A securities").Invest in convertible preferred stock and convertible debt securities.Invest in real estate investment trusts ("REITs").Invest in fixed-income securities, including U.S. government bonds and below-investment grade fixed-income securities (commonly known as "junk bonds").Hold securities of foreign issuers traded over-the-counter or on foreign exchanges, including securities in emerging markets and related currency hedging transactions.Invest in options and enter into futures, swap contracts and currency transactions.Invest in equity securities of Canadian issuers.

Historical Stock Data for NATIXIS U.S. MULTI-CAP EQUITY FUND CLASS B (NESBX)

Date Open High Low Close Adj.Close Volume
2016-01-11 $18.47 $18.47 $18.47 $18.47 $18.47 0
2016-01-08 $18.43 $18.43 $18.43 $18.43 $18.43 0
2016-01-07 $18.64 $18.64 $18.64 $18.64 $18.64 0
2016-01-06 $19.18 $19.18 $19.18 $19.18 $19.18 0
2016-01-05 $19.45 $19.45 $19.45 $19.45 $19.45 0
2016-01-04 $19.47 $19.47 $19.47 $19.47 $19.47 0
2015-12-15 $20.98 $20.98 $20.98 $20.98 $20.98 0
2015-12-14 $20.73 $20.73 $20.73 $20.73 $20.73 0
2015-12-11 $20.64 $20.64 $20.64 $20.64 $20.64 0
2015-12-10 $21.09 $21.09 $21.09 $21.09 $21.09 0
2015-12-09 $21.06 $21.06 $21.06 $21.06 $21.06 0
2015-12-08 $21.28 $21.28 $21.28 $21.28 $21.28 0
2015-12-07 $21.42 $21.42 $21.42 $21.42 $21.42 0
2015-12-04 $21.59 $21.59 $21.59 $21.59 $21.59 0
2015-12-03 $21.18 $21.18 $21.18 $21.18 $21.18 0
2015-12-02 $21.49 $21.49 $21.49 $21.49 $21.49 0
2015-12-01 $21.65 $21.65 $21.65 $21.65 $21.65 0
2015-11-30 $21.39 $21.39 $21.39 $21.39 $21.39 0
2015-11-27 $21.47 $21.47 $21.47 $21.47 $21.47 0
2015-11-25 $21.45 $21.45 $21.45 $21.45 $21.45 0
2015-11-24 $21.43 $21.43 $21.43 $21.43 $21.43 0
2015-11-23 $21.41 $21.41 $21.41 $21.41 $21.41 0
2015-11-20 $21.43 $21.43 $21.43 $21.43 $21.43 0
2015-11-19 $21.34 $21.34 $21.34 $21.34 $21.34 0
2015-11-18 $21.32 $21.32 $21.32 $21.32 $21.32 0
2015-11-17 $21.05 $21.05 $21.05 $21.05 $21.05 0
2015-11-16 $21.08 $21.08 $21.08 $21.08 $21.08 0
2015-11-13 $20.81 $20.81 $20.81 $20.81 $20.81 0
2015-11-12 $21.10 $21.10 $21.10 $21.10 $21.10 0
2015-11-11 $21.40 $21.40 $21.40 $21.40 $21.40 0
2015-11-10 $21.43 $21.43 $21.43 $21.43 $21.43 0
2015-11-09 $21.39 $21.39 $21.39 $21.39 $21.39 0
2015-11-06 $21.56 $21.56 $21.56 $21.56 $21.56 0
2015-11-05 $21.46 $21.46 $21.46 $21.46 $21.46 0
2015-11-04 $21.42 $21.42 $21.42 $21.42 $21.42 0
2015-11-03 $21.43 $21.43 $21.43 $21.43 $21.43 0
2015-11-02 $21.37 $21.37 $21.37 $21.37 $21.37 0
2015-10-30 $21.16 $21.16 $21.16 $21.16 $21.16 0
2015-10-29 $21.28 $21.28 $21.28 $21.28 $21.28 0
2015-10-28 $21.34 $21.34 $21.34 $21.34 $21.34 0
2015-10-27 $21.04 $21.04 $21.04 $21.04 $21.04 0
2015-10-26 $21.13 $21.13 $21.13 $21.13 $21.13 0
2015-10-23 $21.11 $21.11 $21.11 $21.11 $21.11 0
2015-10-22 $20.73 $20.73 $20.73 $20.73 $20.73 0
2015-10-21 $20.42 $20.42 $20.42 $20.42 $20.42 0
2015-10-20 $20.52 $20.52 $20.52 $20.52 $20.52 0
2015-10-19 $20.56 $20.56 $20.56 $20.56 $20.56 0
2015-10-16 $20.54 $20.54 $20.54 $20.54 $20.54 0
2015-10-15 $20.46 $20.46 $20.46 $20.46 $20.46 0
2015-10-14 $20.12 $20.12 $20.12 $20.12 $20.12 0
2015-10-13 $20.18 $20.18 $20.18 $20.18 $20.18 0
2015-10-12 $20.28 $20.28 $20.28 $20.28 $20.28 0
2015-10-09 $20.23 $20.23 $20.23 $20.23 $20.23 0
2015-10-08 $20.17 $20.17 $20.17 $20.17 $20.17 0
2015-10-07 $20.03 $20.03 $20.03 $20.03 $20.03 0
2015-10-06 $19.94 $19.94 $19.94 $19.94 $19.94 0
2015-10-05 $19.94 $19.94 $19.94 $19.94 $19.94 0
2015-10-02 $19.57 $19.57 $19.57 $19.57 $19.57 0
2015-10-01 $19.28 $19.28 $19.28 $19.28 $19.28 0
2015-09-30 $19.25 $19.25 $19.25 $19.25 $19.25 0
2015-09-29 $18.90 $18.90 $18.90 $18.90 $18.90 0
2015-09-28 $18.90 $18.90 $18.90 $18.90 $18.90 0
2015-09-25 $19.38 $19.38 $19.38 $19.38 $19.38 0
2015-09-24 $19.35 $19.35 $19.35 $19.35 $19.35 0
2015-09-23 $19.43 $19.43 $19.43 $19.43 $19.43 0
2015-09-22 $19.48 $19.48 $19.48 $19.48 $19.48 0
2015-09-21 $19.76 $19.76 $19.76 $19.76 $19.76 0
2015-09-18 $19.65 $19.65 $19.65 $19.65 $19.65 0
2015-09-17 $19.95 $19.95 $19.95 $19.95 $19.95 0
2015-09-16 $20.02 $20.02 $20.02 $20.02 $20.02 0
2015-09-15 $19.81 $19.81 $19.81 $19.81 $19.81 0
2015-09-14 $19.58 $19.58 $19.58 $19.58 $19.58 0
2015-09-11 $19.71 $19.71 $19.71 $19.71 $19.71 0
2015-09-10 $19.66 $19.66 $19.66 $19.66 $19.66 0
2015-09-09 $19.55 $19.55 $19.55 $19.55 $19.55 0
2015-09-08 $19.76 $19.76 $19.76 $19.76 $19.76 0
2015-09-04 $19.29 $19.29 $19.29 $19.29 $19.29 0
2015-09-03 $19.61 $19.61 $19.61 $19.61 $19.61 0
2015-09-02 $19.61 $19.61 $19.61 $19.61 $19.61 0
2015-09-01 $19.27 $19.27 $19.27 $19.27 $19.27 0
2015-08-31 $19.84 $19.84 $19.84 $19.84 $19.84 0
2015-08-28 $20.02 $20.02 $20.02 $20.02 $20.02 0
2015-08-27 $20.00 $20.00 $20.00 $20.00 $20.00 0
2015-08-26 $19.56 $19.56 $19.56 $19.56 $19.56 0

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