Legg Mason American Leading Companies Trust

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   as of Mar-31-2009
 
IDENTIFIERPAR/SHARESSECURITIES DESCRIPTION (All data unaudited.)MARKET VALUE% OF PORTFOLIO
882508104 481,300 Texas Instruments Inc $7,946,263.00 4.48
459200101 77,500 IBM Corp $7,508,975.00 4.23
428236103 225,000 Hewlett-Packard Co $7,213,500.00 4.07
91324P102 311,000 UnitedHealth Group Inc $6,509,230.00 3.67
872540109 250,000 TJX Cos Inc New $6,410,000.00 3.61
654902204 506,003 Nokia Corp $5,905,055.01 3.33
46625H100 220,000 JPMorgan Chase & Co $5,847,600.00 3.30
594918104 318,000 Microsoft Corp $5,841,660.00 3.29
478160104 106,000 Johnson & Johnson $5,575,600.00 3.14
94973V107 131,500 Wellpoint Inc $4,993,055.00 2.82
718172109 130,000 Philip Morris Intl Ord Shr $4,625,400.00 2.61
902549807 1,000,000 UAL Corp $4,480,000.00 2.53
031162100 90,000 Amgen Inc $4,456,800.00 2.51
149123101 152,500 Caterpillar Inc $4,263,900.00 2.40
H8817H100 70,000 Transocean Ltd $4,118,800.00 2.32
278642103 319,900 eBay Inc $4,017,944.00 2.27
42222G108 275,000 Health Net Inc $3,982,000.00 2.25
38141G104 36,000 Goldman Sachs Group Inc $3,816,720.00 2.15
539830109 54,000 Lockheed Martin Corp $3,727,620.00 2.10
887317303 189,667 Time Warner Inc $3,660,566.67 2.06
369550108 75,000 GENERAL DYNAMICS CORP $3,119,250.00 1.76
02209S103 190,000 Altria Group Inc $3,043,800.00 1.72
00206R102 110,000 AT&T Inc $2,772,000.00 1.56
369604103 265,000 General Electric Co $2,679,150.00 1.51
22160K105 55,000 Costco Whsl Corp $2,547,600.00 1.44
037411105 38,000 Apache Corp $2,435,420.00 1.37
617446448 105,000 Morgan Stanley $2,390,850.00 1.35
984332106 186,000 Yahoo Inc $2,382,660.00 1.34
852061100 650,000 Sprint Nextel Corp $2,320,500.00 1.31
50075N104 100,000 Kraft Foods Inc $2,229,000.00 1.26
057224107 78,000 Baker Hughes Inc $2,226,900.00 1.26
59156R108 95,000 Metlife Inc $2,163,150.00 1.22
857477103 70,000 State Street Corporation $2,154,600.00 1.21
637071101 75,000 National Oilwell Varco Inc $2,153,250.00 1.21
14040H105 175,000 Capital One Financial Corp $2,142,000.00 1.21
416515104 271,500 Hartford Financial Svcs Group $2,131,275.00 1.20
H5833N103 88,000 Noble Corp Switzerland $2,119,920.00 1.20
25179M103 46,000 Devon Energy Corp $2,055,740.00 1.16
35671D857 50,000 Freeport McMoRan Copper & Gold Inc $1,905,500.00 1.07
744320102 97,500 Prudential Financial Inc $1,854,450.00 1.05
717081103 130,000 Pfizer Inc $1,770,600.00 1.00
268648102 154,000 EMC Corp $1,755,600.00 0.99
466313103 300,000 Jabil Circuit Inc $1,668,000.00 0.94
G1150G111 57,000 Accenture Ltd $1,566,930.00 0.88
001055102 75,000 Aflac Inc $1,452,000.00 0.82
30231G102 20,000 Exxon Mobil Corp $1,362,000.00 0.77
032511107 32,750 Anadarko Petroleum Corp $1,273,647.50 0.72
912909108 60,000 United States Steel Corp $1,267,800.00 0.71
949746101 87,500 Wells Fargo & Co $1,246,000.00 0.70
124857202 320,000 CBS Corp Class B $1,228,800.00 0.69
629491101 67,500 NYSE Euronext $1,208,250.00 0.68
88732J207 47,608 TIME WARNER CABLE INC $1,180,684.10 0.67
20825C104 30,000 ConocoPhillips $1,174,800.00 0.66
00130H105 200,000 AES Corp $1,162,000.00 0.66
291011104 40,000 Emerson Electric Co $1,143,200.00 0.64
00817Y108 40,000 Aetna Inc $973,200.00 0.55
013817101 130,000 Alcoa Inc $954,200.00 0.54
713448108 18,000 Pepsico Inc $926,640.00 0.52
742718109 19,000 Procter & Gamble Co $894,710.00 0.50
913017109 20,000 United Technologies Corp $859,600.00 0.48
247361702 100,000 Delta Air Lines Inc DE $563,000.00 0.32




Portfolio holdings are subject to change at any time without notice and do not reflect trade date activity. Percentages are based on total investments. This information is provided for information purposes only and should not be construed as a recommendation to purchase or sell any security.

All investments involve risk, including possible loss of principal.

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. Legg Mason Investor Services, LLC, is a subsidiary of Legg Mason, Inc.

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