Western Asset Managed Municipals: (MF: SHMMX)

NAV

$17.27

NAV Day Change

0.01 (0.06%)

 

 

May 16 06:06 PM ET

General Information As Of 04/30/13

%Yield 3.60
%SEC Yield 3.37
%YTD Return (as of 04/30/13) 1.65
Objective* Fixed Income - Muni Natl
Peer* MB LT

Portfolio Statistics

%Unrealized Gain YTD 10.97
Net Assets (Mil $) 04/30/2013 3,687.00
%Turnover 04/30/2013 10.00

Fees

%Max Sales Load 4.25
%Min Sales Load .00
%Max Deferred Load NA

Expenses

%Max 12b-1 Fee 0.15
%Max Management Fee 0.44
Redemption Fee NA
Expense Ratio 0.65

Allocation

Large Growth NA
Large Value NA
Small Growth NA
Small Value NA
Foreign Stock NA
Emerging Market NA
Precious Metal NA
Intermediate Bond NA
Foreign Bond NA
High Yield Bond NA

Portfolio Information

Composition

As of 02/28/2013 %of Net Assets
Stock 0.00
Cash 0.00
Bonds 98.25
Preferred 0.00
Convertibles 0.00
Foreign Stock 0.00
Foreign Bonds 0.00
Hedge 0.00
Other 1.75

Sector / Country Weightings

As of 04/30/2013 % of Portfolio
NA NA

Portfolio Holdings

Top Holdings (As of 02/28/2013) % of Portfolio Value (Mil$)
MSR ENERGY AUTH CA GAS RE 2.03 117.96
LA CA DEPT OF AIRPORTS RE 1.71 99.64
BAY AREA TOLL AUTH CA TOL 1.38 80.51
MSR ENERGY AUTH CA GAS RE 1.32 76.90
PR SALES TAX FINCNG CORP 1.32 76.89
CA STATE PCFA WTR FURNISH 1.30 75.57
CA HLTH FAC FINCNG AUTH R 1.12 65.30
PBLC AUTH FOR CO ENERGY N 1.08 62.77
ATLANTA GA WTR & WSTWTR R 1.07 61.95
NJ STATE HIGHER EDUC ASSI 1.03 60.10

Contact Information

Family Legg Mason
Addrerss 100 Light Street
Baltimore, MD 21202
Phone 800 822-5544

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Zacks Mutual Fund Rank: 2 - Buy

 
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Fund Description

The fund was incepted in March 1981 and is managed by Smith Barney Fund Management. The objective of the fund is to maximize current interest income that is excluded from gross income for regular federal income tax purposes, to the extent consistent with prudent investment management and the preservation of capital. The fund invests at least 80% of its net assets in investment grade, municipal securities from across the country with maturities ranging from 3 to over 30 years. Dividends are distributed monthly. The fund generally makes capital gain distributions, if any, once a year, typically in December.

Stock Holding % of Net Assets

As Of 02/28/2013
Total Issues NA
Avg. P/E NA
Avg. P/Book NA
Avg. EPS Growth NA
Avg. Market Value (Mil $) NA

Risk

3 Year 5 Year 10 Year
Beta 1.18 1.23 0.88
Alpha -0.46 -0.51 1.06
R Squared 0.85 0.77 0.66
Std. Dev. 4.82 6.71 5.63
Sharpe 1.40 0.97 2.00

Shareholder Information

Manager Team Managed
Since NA
Manager Rating NA
Inception Date 03/04/1981
Shareholders NA
Dividends Paid M
Minimum Initial Investment $1,000
Minimum Subsequent Investment $50
IRA Minimum $0
IRA Available Y Check Writing N Phone Invest Y
Phone Exchange Y Phone Redeem Y Auto Invest Y
Wire Redeem N Wire Fee N Wire Transfer N

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