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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Western Asset Managed High Income Fund, Inc. | NYSE:MHY | NYSE | Ordinary Share |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 4.86 | 0.00 | 00:00:00 |
From Nov 2019 to Nov 2024
Western Asset Managed High Income Fund Inc. (NYSE:MHY) announces its portfolio composition as of December 31, 2015.
Investment Objective: The Fund’s primary investment objective is high current income. Capital appreciation is a secondary objective.
Portfolio Composition*:
Asset Allocation
High Yield Corporate Bonds
79.2%
Investment Grade Corporate Bonds
6.7%Government
4.2%Bank Loans
2.6%Emerging Market Debt
2.2%Corporates External Currency
2.2%Mortgage-Backed Securities
0.4% Cash & Other Securities 4.6%Credit Quality Allocation**
AA 4.2% A 0.2% BBB 6.6% BB 18.0% B 41.0% CCC 22.2% CC 0.2% D 0.8% Not Rated 7.0%Top Ten High Yield Industries
Communications 16.4% Consumer Cyclical 12.4% Consumer Non Cyclical 12.1% Energy 7.7% Capital Goods 6.5% Banking 5.0% Finance Companies 4.2% Basic Industry 4.1% Transportation 3.7% Electric 2.5%Top Emerging Market Countries
Brazil 1.1% Russia 0.9% United Arab Emirates 0.2%Average Life (years)
6.8Effective Duration (years)
4.2Average Coupon (%)
7.2Portfolio Statistics:
Inception Date
March 26, 1993Inception Price
$12.00Total Assets***
$235,797,339Net Assets
$235,537,611Loans****
0.00%Preferred Shares****
0.00%Reverse Repos****
0.00%Market Price
$4.52NAV
$4.99 (Daily NAV is available on market quotation systems using the symbol XMHYX.)Distribution Rate
$0.0345 per shareFrequency
Monthly (Declared quarterly, paid monthly)*Portfolio holdings and weightings are historical and are presented here for informational purposes only. They are subject to change at any time.
**Credit quality is a measure of a bond issuer's ability to repay interest and principal in a timely manner. The credit ratings shown are based on each portfolio security’s rating as provided by Standard and Poor’s, Moody’s Investors Service and/or Fitch Ratings, Ltd. and typically range from AAA (highest) to D (lowest), or an equivalent and/or similar rating. For this purpose, when two or more of the agencies have assigned differing ratings to a security, the lowest rating is used. Securities that are unrated by all three agencies are reflected as such. The credit quality of the investments in the Fund's portfolio does not apply to the stability or safety of the Fund. These ratings are updated monthly and may change over time. Please note, the Fund itself has not been rated by an independent rating agency.
***The difference between total assets and net assets, if any, is due primarily to the Fund’s use of borrowings; net assets do not include borrowings. The Fund may employ leverage in the form of loans, preferred stock, reverse repurchase agreements and/or other instruments. When the Fund engages in transactions that have a leveraging effect on the Fund’s portfolio, the value of the Fund will be more volatile and all other risks will tend to be compounded.
****Percentages are based on total assets. If the Fund employs leverage, the Effective Duration is based on net assets.
Western Asset Managed High Income Fund Inc., a diversified closed-end investment management company, is advised by Legg Mason Partners Fund Advisor, LLC, a wholly owned subsidiary of Legg Mason, Inc., and is sub-advised by Western Asset Management Company, an affiliate of the advisor.
An investment in the Fund involves risk, including loss of principal. Investment return and the value of shares will fluctuate. Fixed income securities are subject to credit risk, inflation risk, call risk, and interest rate risks. As interest rates rise, bond prices fall, reducing the value of the Fund's share price. High yield or "junk bonds" are subject to additional risks.
Data and commentary provided in this press release are for informational purposes only. Legg Mason and its affiliates do not engage in selling shares of the Fund.
For more information, please call Fund Investor Services at 1-888-777-0102, or consult the Fund’s web site at http://www.lmcef.com. Hard copies of the Fund’s complete audited financial statements are available free of charge upon request.
FN1112215
View source version on businesswire.com: http://www.businesswire.com/news/home/20160129005182/en/
Media:Maria Rosati, 1-212-805-6036mrosati@leggmason.com
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