| Name | Ex-Dividend Date | Dividend | Payment Date | Record Date | Declaration Date | Frequency |
|---|---|---|---|---|---|---|
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Apr 2026 | 1 Apr 2026 | $0.59 | 8 Apr 2026 | 6 Apr 2026 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 9 Jan 2026 | 2 Jan 2026 | $0.58 | 9 Jan 2026 | 5 Jan 2026 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Oct 2025 | 1 Oct 2025 | $0.55 | 8 Oct 2025 | 6 Oct 2025 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Jul 2025 | 1 Jul 2025 | $0.55 | 8 Jul 2025 | 7 Jul 2025 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Apr 2025 | 1 Apr 2025 | $0.53 | 8 Apr 2025 | 4 Apr 2025 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 10 Jan 2025 | 2 Jan 2025 | $0.53 | 10 Jan 2025 | 6 Jan 2025 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Oct 2024 | 1 Oct 2024 | $0.51 | 8 Oct 2024 | 4 Oct 2024 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Jul 2024 | 1 Jul 2024 | $0.52 | 8 Jul 2024 | 5 Jul 2024 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 9 Apr 2024 | 2 Apr 2024 | $0.48 | 9 Apr 2024 | 5 Apr 2024 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 9 Jan 2024 | 2 Jan 2024 | $0.45 | 9 Jan 2024 | 5 Jan 2024 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 9 Oct 2023 | 2 Oct 2023 | $0.44 | 9 Oct 2023 | 5 Oct 2023 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 10 Jul 2023 | 3 Jul 2023 | $0.42 | 10 Jul 2023 | 6 Jul 2023 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 10 Apr 2023 | 3 Apr 2023 | $0.37 | 10 Apr 2023 | 6 Apr 2023 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 9 Jan 2023 | 2 Jan 2023 | $0.32 | 9 Jan 2023 | 5 Jan 2023 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 10 Oct 2022 | 3 Oct 2022 | $0.28 | 10 Oct 2022 | 6 Oct 2022 | - | Other |
0P0000JTTQ Paid Natixis International Funds (Lux) I-Loomis Sayles Global Credit Fund-R/D USD 8 Jul 2022 | 1 Jul 2022 | $0.24 | 8 Jul 2022 | 5 Jul 2022 | - | Other |