Nasdaq - Delayed Quote USD

Legg Mason Partners Income Trust - Western Asset Emerging Markets Debt Fund (SEMDX)

3.8700 0.0000 (0.00%)
At close: July 7 at 8:01 PM EDT

Performance Overview

Morningstar Return Rating --
YTD Return 1.37%
5y Average Return 0.59%
Number of Years Up 19
Number of Years Down 7
Best 1Y Total Return (Jul 7, 2023) 43.01%
Worst 1Y Total Return (Jul 7, 2023) --
Best 3Y Total Return 43.01%
Worst 3Y Total Return -3.66%

Trailing Returns (%) Vs. Benchmarks

Monthly Total Returns
SEMDX
Category
YTD
1.37%
-0.13%
1-Month
0.31%
0.40%
3-Month
-0.46%
3.23%
1-Year
6.25%
9.26%
3-Year
-3.38%
5.92%
5-Year
0.59%
4.76%
10-Year
1.67%
4.29%
Last Bull Market
7.25%
11.92%
Last Bear Market
-12.33%
-4.79%

Annual Total Return (%) History

Year
SEMDX
Category
2023
--
--
2022
-15.09%
--
2021
-2.96%
--
2020
8.51%
5.09%
2019
15.30%
12.59%
2018
-7.51%
-4.93%
2017
9.90%
10.25%
2016
11.23%
10.51%

2015
-2.65%
-5.98%
2014
1.58%
-0.80%
2013
-8.07%
-7.27%
2012
16.23%
17.95%
2011
5.41%
1.98%
2010
13.04%
12.34%
2009
43.01%
32.43%
2008
-19.33%
-17.64%
2007
7.65%
5.36%
2006
8.69%
10.99%
2005
13.58%
11.50%
2004
12.99%
12.31%
2003
32.33%
30.83%
2002
11.99%
12.69%
2001
12.61%
12.83%
2000
13.83%
12.68%
1999
31.60%
29.58%
1998
-19.86%
-24.54%
1997
17.24%
13.53%

Past Quarterly Returns

YearQ1Q2Q3Q4
2023 1.31% 0.05% -- --
2022 -7.60% -12.33% -4.64% 9.92%
2021 -5.05% 4.00% -0.55% -1.19%
2020 -11.66% 12.56% 2.25% 6.72%
2019 7.11% 4.22% 0.46% 2.82%
2018 -2.05% -5.45% 1.85% -1.95%
2017 4.08% 1.90% 3.06% 0.54%
2016 4.19% 6.15% 4.82% -4.06%
2015 1.00% -0.69% -4.18% 1.28%
2014 3.10% 5.56% -2.44% -4.33%

2013 -1.52% -6.92% 0.60% -0.30%
2012 5.68% 0.87% 6.14% 2.72%
2011 1.37% 3.53% -4.23% 4.87%
2010 4.12% 0.15% 9.74% -1.22%
2009 3.39% 19.40% 13.73% 1.86%
2008 -0.21% 1.32% -9.19% -12.15%
2007 2.46% 0.20% 2.62% 2.18%
2006 1.43% -2.61% 6.19% 3.61%
2005 -0.31% 7.33% 4.51% 1.58%
2004 3.37% -6.37% 10.12% 6.01%
2003 10.16% 10.83% 2.72% 5.51%
2002 7.46% -6.65% -5.22% 17.78%
2001 3.77% 4.74% -3.92% 7.84%
2000 7.50% 0.00% 4.65% 1.19%
1999 5.98% 8.27% -0.17% 14.89%
1998 5.41% -9.32% -28.91% 17.93%
1997 0.58% 11.87% 7.19% -2.80%

Rank in Category (By Total Return)

YTD 91
1-Month 92
3-Month 90
1-Year 71
3-Year 76
5-Year 45

Load Adjusted Returns

1-Year 6.25%
3-Year -3.04%
5-Year 0.86%
10-Year 1.60%

Performance & Risk

YTD Return 1.37%
5y Average Return 0.59%
Rank in Category (ytd) 91
% Rank in Category (ytd) --
Beta (5Y Monthly) 1.30
Morningstar Risk Rating

Fund Overview

Category Emerging Markets Bond
Fund Family Franklin Templeton Investments
Net Assets 10.25M
YTD Return 1.37%
Yield 6.08%
Morningstar Rating
Inception Date Jan 13, 2010

Fund Summary

Under normal circumstances, the fund invests at least 80% of its assets in fixed income securities issued by governments, government-related entities and corporations located in emerging markets and related investments. It may invest without limit in high yield debt securities and related investments rated below investment grade. Below investment grade securities are commonly referred to as "junk bonds." The fund may invest up to 50% of its assets in non-U.S. dollar denominated fixed income securities. It is non-diversified.

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