Legg Mason Brandywine Global Fixed Income Fund

Adjust Font Size Increase font size Decrease font size    
 

Fund Objective

The Fund aims to earn an after-fee return in excess of the Citigroup World Government Bond Index hedged into Australian dollars over rolling five year periods.

Key features

  • The Fund is an actively managed portfolio of sovereign bonds, investment grade corporate bonds, mortgage securities, currencies and other similar securities.
  • Access to high real yields with diversification outside of G3 countries.
  • Designed to capture market upside but aiming to avoid market downside, and to provide long term performance.

 
 
 
Risk Factors: Legg Mason Australia does not guarantee any profit or recovery of capital from an investment in the Fund. The NAV of the Fund will fluctuate in response to the changing values of the Fund's assets. It is important that you understand and accept the risks before you invest. A financial adviser can explain to you the risks and provide investment advice to suit your investment objectives. There is the risk that an investor's investment objective may not be met by their choice of investment.