<SEC-DOCUMENT>0001752724-19-012069-index.html : 20190318
<SEC-HEADER>0001752724-19-012069.hdr.sgml : 20190318
<ACCEPTANCE-DATETIME>20190318154841
ACCESSION NUMBER:		0001752724-19-012069
CONFORMED SUBMISSION TYPE:	N-CEN
PUBLIC DOCUMENT COUNT:		2
CONFORMED PERIOD OF REPORT:	20181231
FILED AS OF DATE:		20190318
DATE AS OF CHANGE:		20190318
EFFECTIVENESS DATE:		20190318

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			Natixis Funds Trust II
		CENTRAL INDEX KEY:			0000052136
		IRS NUMBER:				041990692
		STATE OF INCORPORATION:			MA

	FILING VALUES:
		FORM TYPE:		N-CEN
		SEC ACT:		1940 Act
		SEC FILE NUMBER:	811-00242
		FILM NUMBER:		19688121

	BUSINESS ADDRESS:	
		STREET 1:		888 BOYLSTON STREET
		STREET 2:		8TH FLOOR
		CITY:			BOSTON
		STATE:			MA
		ZIP:			02199
		BUSINESS PHONE:		800-283-1155

	MAIL ADDRESS:	
		STREET 1:		888 BOYLSTON STREET
		STREET 2:		8TH FLOOR
		CITY:			BOSTON
		STATE:			MA
		ZIP:			02199

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	IXIS Advisor Funds Trust II
		DATE OF NAME CHANGE:	20050502

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	CDC NVEST FUNDS TRUST II
		DATE OF NAME CHANGE:	20010503

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	NVEST FUNDS TRUST II
		DATE OF NAME CHANGE:	20000202
<SERIES-AND-CLASSES-CONTRACTS-DATA>
<EXISTING-SERIES-AND-CLASSES-CONTRACTS>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000008033
<SERIES-NAME>Natixis Oakmark Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000021802
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>NEFOX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000021804
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>NECOX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000021805
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>NEOYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188564
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>NOKTX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000190720
<CLASS-CONTRACT-NAME>Class N
<CLASS-CONTRACT-TICKER-SYMBOL>NOANX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000023548
<SERIES-NAME>ASG Global Alternatives Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069269
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>GAFAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069270
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>GAFCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069271
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>GAFYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000128763
<CLASS-CONTRACT-NAME>Class N
<CLASS-CONTRACT-TICKER-SYMBOL>GAFNX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188565
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>GAFTX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000023783
<SERIES-NAME>Vaughan Nelson Value Opportunity Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069913
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>VNVAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069914
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>VNVCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000069915
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>VNVYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000128764
<CLASS-CONTRACT-NAME>Class N
<CLASS-CONTRACT-TICKER-SYMBOL>VNVNX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188566
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>VNVTX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000029564
<SERIES-NAME>ASG Managed Futures Strategy Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000090725
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>AMFAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000090726
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>ASFCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000090727
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>ASFYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188567
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>MFSTX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000190721
<CLASS-CONTRACT-NAME>Class N
<CLASS-CONTRACT-TICKER-SYMBOL>AMFNX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000030600
<SERIES-NAME>Loomis Sayles Strategic Alpha Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000094853
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>LABAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000094854
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>LABCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000094855
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>LASYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188568
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>LSATX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000190722
<CLASS-CONTRACT-NAME>Class N
<CLASS-CONTRACT-TICKER-SYMBOL>LASNX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000039535
<SERIES-NAME>McDonnell Intermediate Municipal Bond Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000121922
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>MIMAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000121923
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>MIMCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000121924
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>MIMYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188569
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>MIMTX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000042166
<SERIES-NAME>ASG Tactical U.S. Market Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000130927
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>USMAX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000130928
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>USMCX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000130929
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>USMYX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188570
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>USTMX
</CLASS-CONTRACT>
</SERIES>
<SERIES>
<OWNER-CIK>0000052136
<SERIES-ID>S000051707
<SERIES-NAME>ASG Dynamic Allocation Fund
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000162711
<CLASS-CONTRACT-NAME>Class A
<CLASS-CONTRACT-TICKER-SYMBOL>DAAFX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000162712
<CLASS-CONTRACT-NAME>Class C
<CLASS-CONTRACT-TICKER-SYMBOL>DACFX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000162713
<CLASS-CONTRACT-NAME>Class Y
<CLASS-CONTRACT-TICKER-SYMBOL>DAYFX
</CLASS-CONTRACT>
<CLASS-CONTRACT>
<CLASS-CONTRACT-ID>C000188571
<CLASS-CONTRACT-NAME>Class T
<CLASS-CONTRACT-TICKER-SYMBOL>DAATX
</CLASS-CONTRACT>
</SERIES>
</EXISTING-SERIES-AND-CLASSES-CONTRACTS>
</SERIES-AND-CLASSES-CONTRACTS-DATA>
</SEC-HEADER>
<DOCUMENT>
<TYPE>N-CEN
<SEQUENCE>1
<FILENAME>primary_doc.xml
<TEXT>
Document 1 - file: primary_doc.html
Document 1 - RAW XML: primary_doc.xml
</DOCUMENT> <DOCUMENT> <TYPE>INTERNAL CONTROL RPT <SEQUENCE>2 <FILENAME>NCEN_9994751259899553.txt <TEXT> Document 2 - file: NCEN_9994751259899553.txt
</DOCUMENT> </SEC-DOCUMENT>