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Western Asset UK£ Limited Duration Bond Fund
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About the Fund
Investment Aim
To maximise total return through income and capital appreciation by investing primarily in shorter maturity debt securities of UK Issuers denominated in sterling.
Performance Benchmark
Merrill Lynch Sterling Broad Market 1-3 Year Index
- Emphasis on shorter maturity securities of UK issuers
- Portfolio invests across all major fixed income sectors
- Credit quality: The Investment Manager will only purchase investments that are rated at least investment grade by a nationally recognised statistical rating organisation (NRSRO).
About the Investment Strategy
- Construct a portfolio using all major fixed-income sectors with a bias towards non-treasuries, especially corporate, mortgage-backed and asset-backed securities.
- Value is added through sector rotation, issue selection, duration and term structure weighting.
About the Investment Team
Founded in 1971, Western Asset has decades of experience and is now one of the world's largest managers of fixed income investments. Western Asset follows a team-focused approach comprising groups of specialists dedicated to all the major areas of the fixed income market. Its expertise extends globally across major bond markets.
Risk Factors: Fluctuations in exchange rates can affect the value of the Fund and the income from it. Please refer to the Simplified Prospectus and Prospectus documentation for Legg Mason Institutional Funds plc, which describe the full risk factors associated with this Fund.
On 1 October, the above sub-fund changed from using the abbreviation 'WA' in the fund name (e.g. 'WA Emerging
Market Debt Fund') to 'Western Asset' (e.g. 'Western Asset Emerging Market Debt Fund').
The current prospectus in effect for France still refers to the old fund name, but will be updated shortly.
Risk Factors: Fluctuations in exchange rates can affect the value of the Fund and the income from it. Please refer to the Simplified Prospectus and Prospectus documentation for Legg Mason Institutional Funds plc, which describe the full risk factors associated with this Fund.