UMNIX
Lazard US Short Duration Fixed Income Portfolio
LAZARD FUNDS INC

Average annual returns

Through 2025 · incl. N-PORT-derived 2025
1 year
4.69%
3 year
4.39%
5 year
1.97%
10 year
1.80%

Standardized average annual total returns (before tax), from calendar-year returns; recent years derived from N-PORT monthly data.

Calendar-year returns

2025 onward derived from N-PORT monthly returns

Risk statistics

81 months through March 31, 2026
Volatility (ann.)
1.69%
Sharpe
2.41
Sortino
6.01
Max drawdown
-3.73%
Best month
1.29%
Worst month
-1.05%
Beta vs VBTLX
0.26
Correlation
0.85

Derived from N-PORT monthly total returns; distinct from the prospectus returns above.

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