Legg Mason Partners Capital and Income Fund

PORTFOLIO CHARACTERISTICSAs of Jun-30-2008
Net Assets (in billions)2.86
Number of issues665
Standard Deviation7.81
TOP TEN HOLDINGSAs of Jun-30-2008
Crosstex Energy Inc2.89
Halliburton Co2.88
General Electric Co2.79
COVANTA HLDG CORP2.41
Wyeth2.34
Medtronic Inc2.16
Dover Corp2.11
Lamar Advertising Co2.04
Philip Morris Intl Ord Shr1.98
Liberty Media Corp New1.93
ASSET ALLOCATIONAs of Jun-30-2008
TOP SECTORSAs of Jun-30-2008
Energy12.42
Industrials11.44
Health Care9.35
Consumer Discretionary8.97
Financials8.90
  View Full Holdings

Percentages are based on total portfolio and are subject to change at any time.

Standard deviation indicates the percentage by which a fund’s performance has varied from its average performance in any given month during the last 36 months. The higher the standard deviation, the greater the range of performance, indicating greater volatility.

Investors should consider a fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other information about a fund. To obtain a free prospectus, please view the product specific page on this website and click on the prospectus link. An investor should read the prospectus carefully before investing.

All investment managers mentioned are subsidiaries of Legg Mason, Inc.

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