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This is an actively managed fund that seeks current income via a diversified portfolio with an emphasis on lower interest rate sensitivity, higher credit quality and active credit selection. Targets short duration credit exposure while leveraging Western Asset’s global investment capabilities and strong risk management program, employing an active process that is both top-down and bottom-up to help identify attractive credit and income opportunities while actively managing risk. Active management of duration, sector and security selection—providing greater flexibility to respond to dynamic market conditions with the potential of reducing interest rate risk while maintaining attractive income levels. Exposures that are 100% US-dollar denominated with investment grade corporate bonds at its core, supplemented by opportunistic exposures such as high yield bonds, structured securities, and emerging market debt can allow for enhanced performance, added diversification and improved yield.
$23.93 0.00 (0.00%)
As of 08/08/2022 00:00:00 EST IEX book CBOE book
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