skip navigation

Global Total Return

Description

The strategy is a macro-oriented, actively managed and well diversified, investment grade, global unconstrained solution. It aims to maximize total return, while managing overall portfolio risk, by identifying relative value among securities and sectors in the investment-grade global fixed income markets. The strategy allows an opportunistic allocation of up to 10% in below investment grade securities. The strategy leverages Western Asset's best ideas and disciplined research program to add value through active duration and yield curve positioning, country and currency allocation, sector rotation and security selection.

Sector Duration Contribution

Sector allocation includes look-through to any underlying commingled vehicles if held. Data may not sum to total due to rounding.

Snapshot

Benchmark: There is no benchmark available which appropriately reflects the strategy.
Inception Date: 1 January 2006
Investment Vehicles: Separate Accounts and Commingled Vehicles
For more information, contact your Client Service Executive
or call us at +65-6428-3600.
IMPORTANT INFORMATION: All investments involve risk including loss of principal. Past performance is not indicative of future investment results. This information is only for use by professional clients, eligible counterparties or qualified investors. It is not aimed at, or for use by, retail clients.
Employees and/or clients of Western Asset may have a position in the securities mentioned. This has been prepared without taking into account your objectives, financial situation or needs. Before acting on this information, you should consider its appropriateness having regard to your objectives, financial situation or needs. It is your responsibility to be aware of and observe the applicable laws and regulations of your country of residence.

Western Asset Management Company Distribuidora de Títulos e Valores Mobiliários Limitada is authorized and regulated by Comissão de Valores Mobiliários and Brazilian Central Bank. Western Asset Management Company Pty Ltd ABN 41 117 767 923 is the holder of the Australian Financial Services Licence 303160. Western Asset Management Company Pte. Ltd. Co. Reg. No. 200007692R is a holder of a Capital Markets Services Licence for fund management and regulated by the Monetary Authority of Singapore. Western Asset Management Company Ltd is a registered Financial Instruments Business Operator and regulated by the Financial Services Agency of Japan. Western Asset Management Company Limited is authorised and regulated by the Financial Conduct Authority ("FCA") (FRN 145930). This communication is intended for distribution to Professional Clients only if deemed to be a financial promotion in the UK as defined by the FCA. This communication may also be intended for certain EEA countries where Western Asset has been granted permission to do so. For the current list of the approved EEA countries please contact Western Asset at +44 (0)20 7422 3000.