Legg Mason Western Asset Macro Opportunities Bond Fund

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Fund Objective

The Fund seeks to maximise total return through capital appreciation and income by investing in a combination of investment grade, high yielding debt securities and financial “derivative” instruments.

Key features

  • The Fund can take advantage of market dislocations and investment opportunities while actively managing risk.
  • The Fund is designed to have potential for low correlations to equity and traditional fixed income over the long term.
  • The Fund is not managed to a benchmark and can take long and short positions in duration (-5 to +10 years).

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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.

Morningstar Awards 2018 (c). Morningstar, Inc. All Rights Reserved. Awarded to Legg Mason Western Asset for Morningstar Fund Manager of the Year, Fixed Income Category, Australia.