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Government & Corporate Bond Funds

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Nations <strong>Funds</strong><br />

Financial highlights (continued)<br />

For a share outstanding throughout each period.<br />

Net asset Net realized Net increase/ Dividends<br />

value Net and unrealized (decrease) in from net Distributions<br />

beginning investment gain/(loss) on net asset value investment from net<br />

of period income/(loss) investments from operations income realized gains<br />

High Yield <strong>Bond</strong><br />

Primary A Shares<br />

Six months ended 9/30/2002# (unaudited) *** $ 8.86 $0.40 $(1.21) $(0.81) $(0.37) $ —<br />

Year ended 3/31/2002# ****************** 9.27 0.86 (0.34) 0.52 (0.88) (0.05)<br />

Year ended 3/31/2001# ****************** 9.90 0.96 (0.54) 0.42 (1.05) —<br />

Period ended 3/31/2000*# **************** 10.00 0.09 (0.11) (0.02) (0.08) —<br />

Investor A Shares<br />

Six months ended 9/30/2002# (unaudited) *** $ 8.80 $0.39 $(1.21) $(0.82) $(0.36) $ —<br />

Year ended 3/31/2002# ****************** 9.22 0.80 (0.32) 0.48 (0.85) (0.05)<br />

Year ended 3/31/2001# ****************** 9.88 0.96 (0.58) 0.38 (1.04) —<br />

Period ended 3/31/2000*# **************** 10.00 0.08 (0.12) (0.04) (0.08) —<br />

Investor B Shares<br />

Six months ended 9/30/2002# (unaudited) *** $ 8.80 $0.36 $(1.21) $(0.85) $(0.33) $ —<br />

Year ended 3/31/2002# ****************** 9.21 0.76 (0.33) 0.43 (0.79) (0.05)<br />

Year ended 3/31/2001# ****************** 9.88 0.92 (0.62) 0.30 (0.97) —<br />

Period ended 3/31/2000**# *************** 10.00 0.07 (0.12) (0.05) (0.07) —<br />

Investor C Shares<br />

Six months ended 9/30/2002# (unaudited) *** $ 8.77 $0.36 $(1.21) $(0.85) $(0.33) $ —<br />

Year ended 3/31/2002# ****************** 9.19 0.76 (0.34) 0.42 (0.79) (0.05)<br />

Year ended 3/31/2001# ****************** 9.87 0.90 (0.61) 0.29 (0.97) —<br />

Period ended 3/31/2000***# ************** 10.02 0.04 (0.12) (0.08) (0.07) —<br />

+ Annualized.<br />

++ Total return represents aggregate total return for the period indicated, assumes reinvestment of all distributions, and does not reflect the<br />

deduction of any applicable sales charges.<br />

* High Yield <strong>Bond</strong> Primary A and Investor A Shares commenced operations on February 14, 2000.<br />

** High Yield <strong>Bond</strong> Investor B Shares commenced operations on February 17, 2000.<br />

*** High Yield <strong>Bond</strong> Investor C Shares commenced operations on March 8, 2000.<br />

# Per share net investment income has been calculated using the monthly average shares method.<br />

58<br />

See notes to financial statements.

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