Funds by Legg Mason Global Funds Plc

Fund & Sector
1 Month Perf.
1 Year Perf.
3 Year Perf.
5 Year Perf.
OCF
LM As LgTm Uncd
FO Equity - Asia Pacific ex Japan
View Factsheet
-0.6%
-
32.5%
-
38.6%
-
-
-
1.2%
LM Opportunity
FO Equity - USA
View Factsheet
3%
-
31.8%
-
49%
-
165.3%
-
1.16%
LM Royce US SCapOpp
FO Equity - Small Cap USA
View Factsheet
5%
10 / 35
28.1%
3 / 31
17.7%
23 / 26
73.8%
12 / 24
1.23%
Legg Mason Nth America
FO Equity - North America
View Factsheet
-0.4%
35 / 38
26.3%
8 / 35
54.7%
10 / 29
99.4%
10 / 23
1.95%
Legg Mason MC Grt China
FO Equity - Greater China
View Factsheet
3.1%
6 / 39
25.3%
8 / 39
25.7%
15 / 36
43.2%
18 / 33
1.95%
LM WAHiYcrEn
FO Fixed Int - Global
View Factsheet
2.2%
3 / 331
24.3%
2 / 301
-
-
-
-
-
LM MC Asia Pac
FO Equity - Asia Pacific ex Japan
View Factsheet
2%
106 / 182
20.2%
85 / 179
9.1%
110 / 157
16.1%
113 / 126
1.95%
LM Royce US Sm Cos
FO Equity - Small Cap USA
View Factsheet
2.8%
32 / 35
19.6%
20 / 31
8.1%
25 / 26
40.6%
24 / 24
2.01%
Legg Mason MarCurGFGbl Res
FO Commodity & Energy
View Factsheet
-0.5%
66 / 101
19.3%
12 / 102
4.8%
21 / 94
11.4%
14 / 75
1.24%
LM ClrBrdg Gth
FO Equity - USA
View Factsheet
4%
-
16.1%
-
26.2%
-
57.3%
-
1.7%
LM CB US Eq Sus Ld
FO Equity - Ethical
View Factsheet
2.2%
52 / 78
16.1%
38 / 71
-
-
-
-
1.7%
LM MC Aus Eq Inc
FO Equity - Australia
View Factsheet
2.4%
5 / 9
15.6%
2 / 9
-
-
-
-
1.8%
LM CB US Agg Gth
FO Equity - USA
View Factsheet
3%
-
15.4%
-
21.9%
-
79.2%
-
1.14%
LM QSMVAsPaExJpEqGt&In
FO Equity - Asia Pacific ex Japan
View Factsheet
1.1%
141 / 182
15.3%
123 / 179
17.6%
75 / 157
28.4%
79 / 126
1.9%
LM WA Gbl Hi Yd
FO Fixed Int - Global High Yield
View Factsheet
1.8%
-
15.1%
-
4.9%
-
25.2%
-
0.94%
LM CB US Lg Cap Gth
FO Equity - USA
View Factsheet
3.2%
-
13.9%
-
-
-
-
-
2.48%
LM ClrBrdgVal
FO Equity - USA
View Factsheet
1.2%
175 / 218
13%
135 / 204
21.3%
124 / 173
69.7%
75 / 147
1.84%
LM WtrnAstUSHgYld
FO Fixed Int - USD High Yield
View Factsheet
1.7%
31 / 51
12.7%
11 / 45
3.4%
30 / 35
22.4%
21 / 28
2.05%
LM CBGblEqInc
FO Equity - International
View Factsheet
2.3%
243 / 512
12.4%
294 / 481
-
-
-
-
1.85%
LM CB US App
FO Equity - USA
View Factsheet
2%
-
12.4%
-
28.3%
-
69.1%
-
1.12%
LM CB TactDivInc
FO Equity - International
View Factsheet
1%
389 / 512
12%
316 / 481
-1.9%
381 / 391
-
-
2.25%
LM Wst Ass Str Opps
FO Fixed Int - Global
View Factsheet
1.4%
14 / 331
11.6%
18 / 301
-
-
-
-
0.12%
LM ClearBridge Gbl Eq
FO Equity - International
View Factsheet
1.6%
-
10.8%
-
-0.3%
-
36.5%
-
1.9%
LM WAShtDurHiInBd
FO Fixed Int - Global
View Factsheet
1.3%
16 / 331
10.1%
24 / 301
7.8%
97 / 241
13.3%
83 / 174
2.05%
LM Brdwn Gl Dy US Eq
FO Equity - USA
View Factsheet
2.8%
65 / 218
9.6%
181 / 204
-
-
-
-
1.7%
LM WAEmgMksTlRetBd
FO Fixed Int - Emerging Markets
View Factsheet
1.1%
-
9.3%
-
8.6%
-
12.4%
-
1.8%
LM BwGblCrOpp
FO Fixed Int - Global
View Factsheet
0.9%
56 / 331
9.2%
33 / 301
-
-
-
-
1.94%
LM WA Gbl Mstrat
FO Fixed Int - Global
View Factsheet
1.2%
23 / 331
9.1%
35 / 301
8.9%
84 / 241
14.3%
73 / 174
1.39%
LM WA Emg Mkts Crp Bd
FO Fixed Int - Emerging Markets
View Factsheet
1%
85 / 234
8.4%
105 / 221
2.8%
129 / 184
-
-
1.91%
LM QS Emg Mkt Eq
FO Equity - Emerging Markets
View Factsheet
1.9%
-
8.3%
-
-0.4%
-
-9.4%
-
1.55%
LM BW GblIncOptmsr
FO Fixed Int - Global
View Factsheet
0.6%
131 / 331
7.4%
52 / 301
-
-
-
-
2.12%
LM WA Euro High Yield
FO Fixed Int - EUR High Yield
View Factsheet
0.8%
23 / 28
7.3%
11 / 28
13.8%
10 / 26
42.7%
6 / 22
1.46%
LM QSMVEurEqGt&In
FO Equity - Europe inc UK
View Factsheet
2.5%
-
7.2%
-
24.4%
-
63.2%
-
1.9%
LM WsAtMOB
FO Fixed Int - Global
View Factsheet
1%
-
7.1%
-
15.8%
-
-
-
1.26%
LM WAGblInfMgt
FO Fixed Int - USD Index Linked
View Factsheet
0.3%
3 / 7
6.4%
4 / 7
8.2%
4 / 7
4.2%
5 / 7
1.2%
LM WA EM Lcl Cur Dt
FO Fixed Int - Emerging Markets
View Factsheet
0.5%
146 / 234
6%
157 / 221
-
-
-
-
1.5%
LM QSMVGblEqGth&Inc
FO Equity - International
View Factsheet
1.5%
346 / 512
5.5%
451 / 481
20%
211 / 391
54%
156 / 293
1.81%
LM PerAltincStrg
FO Hedge/Stru Prod - Mixed
View Factsheet
0.7%
54 / 151
5.3%
25 / 135
-
-
-
-
2.78%
LM WA Global Credit
FO Fixed Int - Global
View Factsheet
1%
48 / 331
3.5%
130 / 301
8.4%
88 / 241
17.7%
58 / 174
1.38%
LM JpnAbsAlp
FO Hedge/Stru Prod - Equity
View Factsheet
-0.7%
120 / 136
2.8%
56 / 120
-
-
-
-
3.25%
LM WA US Core + Bd
FO Fixed Int - USD
View Factsheet
0.7%
9 / 37
2.6%
18 / 37
7.7%
12 / 32
14.4%
9 / 20
1.43%
LM BrywGlFxInARn
FO Absolute Return
View Factsheet
-0.5%
131 / 148
2%
71 / 132
2.5%
38 / 89
-
-
2.22%
LM WA Gbl Core Plus Bd
FO Fixed Int - Global
View Factsheet
0.5%
155 / 331
1.7%
189 / 301
11.2%
58 / 241
24.1%
28 / 174
0.83%
LM WAAsnOpp
FO Fixed Int - Asia Pacific
View Factsheet
0.4%
-
1.3%
-
3.7%
-
5.4%
-
0.88%
LM WA US Core Bond
FO Fixed Int - USD
View Factsheet
0.5%
15 / 37
1.3%
26 / 37
9%
10 / 32
14.6%
7 / 20
1.03%
LM BW Gbl OppFxdInc
FO Fixed Int - Global
View Factsheet
-0.1%
-
0.8%
-
0.3%
-
7.6%
-
1.43%
LM WAGTRIB
FO Fixed Int - Global
View Factsheet
0.3%
238 / 331
0.8%
215 / 301
-
-
-
-
0.93%
LM BWGblFxInc
FO Fixed Int - Global
View Factsheet
-0.2%
-
0.6%
-
-0.2%
-
4.4%
-
0.89%
LM QIFWAGTRIB
FO Fixed Int - Global
View Factsheet
0.4%
183 / 331
0.3%
229 / 301
-
-
-
-
-
LM WA GblBlCpBd
FO Fixed Int - Global
View Factsheet
0.4%
199 / 331
0.1%
236 / 301
2.9%
151 / 241
6.7%
116 / 174
1.24%
LM WA US Mny Mkt
FO Currency - US Dollar
View Factsheet
-
51 / 58
0%
50 / 56
0%
39 / 50
0.1%
37 / 48
0.71%
LM WA ?Core Pl Bd
FO Fixed Int - EUR
View Factsheet
0.4%
23 / 34
-0.3%
26 / 34
8.6%
13 / 32
20.1%
15 / 26
1.32%
LM WA US ST Gov
FO Fixed Int - USD Government
View Factsheet
-0%
10 / 11
-0.3%
5 / 11
-1%
10 / 10
-1.7%
10 / 10
1.35%
LM WA US Mrt Bkd Sec
FO Fixed Int - USD Investment Grade
View Factsheet
0.3%
33 / 39
-0.8%
34 / 38
-
-
-
-
1.26%
LM WA US Adj Rate
FO Fixed Int - USD
View Factsheet
-0.1%
36 / 37
-0.9%
35 / 37
-3.8%
31 / 32
-1.7%
17 / 20
2.24%
Legg Mason MCGF ErAbsAl
FO Hedge/Stru Prod - Equity
View Factsheet
3%
9 / 136
-1.2%
96 / 120
-
-
-
-
3.25%
LM WA Mul Ass Cr
FO Fixed Int - Global
View Factsheet
1%
37 / 331
-
-
-
-
-
-
2.15%
LM RARE Infra Val
FO Equity - Other Specialist
View Factsheet
1.5%
32 / 39
-
-
-
-
-
-
2%
LM BdywnGlSvrnCr
FO Fixed Int - Global
View Factsheet
-0.2%
296 / 331
-
-
-
-
-
-
1.86%
LM Brdywn Gbl HiYld
FO Fixed Int - Global High Yield
View Factsheet
1.8%
25 / 90
-
-
-
-
-
-
1.4%
LM MrtCAsPcExJpRlIn
FO Equity - Asia Pacific ex Japan
View Factsheet
2.7%
51 / 182
-
-
-
-
-
-
2%
LM MrtCurGlLngTrUncnst
FO Equity - International
View Factsheet
4.3%
39 / 512
-
-
-
-
-
-
2%
LM Wstrn A US Crp Bnd
FO Fixed Int - USD Corporate Bond
View Factsheet
1%
9 / 33
-
-
-
-
-
-
1.1%
LM Wst A UK Inv Grd Crd
FO Fixed Int - GBP Corporate Bond
View Factsheet
0.9%
4 / 13
-
-
-
-
-
-
1.1%
LM BdywnGblHiYldBB-B
FO Fixed Int - Global High Yield
View Factsheet
-
-
-
-
-
-
-
-
-
LM RAREEmMkInfstre
FO Equity - Other Specialist
View Factsheet
-
-
-
-
-
-
-
-
-
Data provided by

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