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Year-end distribution
estimates - 2025

Natixis Investment Managers is providing estimates of ordinary income and capital gain distributions to be paid in December for the convenience of shareholders and their financial advisors to assist with year-end tax and investment planning; however, such estimates are not intended to be a precise indicator of year-end distribution amounts.

The calculations required to arrive at a fund’s required distribution amount are comprehensive, and involve application of complex sections of the Internal Revenue Code; additionally, certain tax adjustments are based on market value at a point in time and, therefore, cannot be estimated. As a result, estimates do not include all tax adjustments. Actual distributions, including the funds paying/not paying, will differ from those presented.

Final distribution rates will be made available after distributions have been paid in December. Remember to work with a qualified tax advisor.

Actual dividend distributions paid in December will include final year-end tax adjustments and therefore should not be used as an indicator of the distribution amounts for monthly and quarterly distributing funds throughout 2026.

Fund Distributions FAQ

For additional Information such as: Fund performance & Daily prices, please visit the By Price and Performance page on this site.

Year-end distribution estimates

Funds not expected to pay year-end distributions in December 2025

  • Loomis Sayles Small/Mid Cap Growth Fund
  • Oakmark Bond Fund*
  • Oakmark Equity and Income Fund**
  • Oakmark U.S. Large Cap ETF
  • Natixis Loomis Sayles Focused Growth ETF

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*Oakmark Bond Fund will pay its regular monthly income distribution with an ex-dividend date of December 30, 2025.

**Oakmark Equity and Income Fund will pay its regular quarterly income distribution with an ex-dividend date of December 30, 2025.

The percent of net asset value (“NAV”) is calculated using the November 28, 2025 NAV. The percent of NAV above is calculated using a fund’s estimated short-term and long-term capital gain distribution per share only, whereas the SEC yield is calculated using theoretical income from the prior 30-day period, net of expenses. The percent of NAV may vary among funds with similar portfolios due to differences in each fund’s tax, accounting and distribution policies, whereas the SEC yield is standardized and mandated by the SEC to allow for a fair comparison among funds.

The information provided is estimated. Actual distributions, including the funds paying and not paying, are subject to change.

Natixis Investment Managers does not provide tax or legal advice. Shareholders should consult with a qualified tax advisor regarding their personal tax situation.

ALPS Distributors, Inc. is the distributor for the Natixis Gateway Quality Income ETF, the Natixis Loomis Sayles Focused Growth ETF, and the Natixis Vaughan Nelson Select ETF. Natixis Distribution, LLC is a marketing agent. ALPS Distributors, Inc. is not affiliated with Natixis Distribution, LLC.

Natixis Distribution, LLC is a marketing agent for the Oakmark Funds.

Before investing, consider the fund’s investment objectives, risks, charges, and expenses. You may obtain a prospectus or a summary prospectus on our website containing this and other information. Read it carefully.

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