Legg Mason Batterymarch International Equity Trust

Most Recent Performance

The performance shown represents past performance. Past performance is no guarantee of future results and current performance may be higher or lower than the performance shown. Principal value and investment returns will fluctuate, and investors' shares, when redeemed, may be worth more or less than the original cost. For performance data including the effects of sales charges, Class A shares reflect the deduction of a maximum front-end sales charge of 5.75%. One-year returns for Class C shares reflect a maximum contingent deferred sales charge (CDSC) of up to 1.0%, respectively. Shares redeemed within 60 days of purchase will be subject to a 2% redemption fee. Performance does not reflect the redemption fee, which would reduce the performance shown.


  NAV as of Sep-01-2010 EXPENSE RATIO (%)   TOTAL RETURNS (%) AVERAGE ANNUAL TOTAL RETURNS (%)
CLASS/SYMBOL/INCEPTION NAV CHANGE* GROSS** NET***   YTD as of
Sep-01-2010
3MO 1YR 3YR 5YR 10YR INCEP
                QUARTER-END as of JUN-30-2010
MONTH-END as of JUL-31-2010
Class A
(LMEAX) Feb-03-2009
$11.26 0.32 1.19 1.19 w/o sales charge
w/ sales charge
-6.01
-11.41
-15.69
-20.55
2.69
-3.25
-
-
-
-
-
-
10.15
5.61
Class C
(LMGEX) Feb-17-1995
$11.22 0.32 1.98 1.98 w/o sales charge
w/ sales charge
-6.50
-7.44
-15.78
-16.62
1.90
0.90
-18.04
-18.04
-2.06
-2.06
-0.54
-0.54
2.52
2.52
Class FI
(LGFEX) May-16-2003
$11.62 0.33 1.28 1.28 w/o sales charge
w/ sales charge
-5.99
-5.99
-15.76
-15.76
2.53
2.53
-17.49
-17.49
-1.39
-1.39
-
-
5.63
5.63
Class I
(LGIEX) May-05-1998
$11.62 0.33 0.91 0.91 w/o sales charge
w/ sales charge
-5.76
-5.76
-15.62
-15.62
2.92
2.92
-17.18
-17.18
-1.02
-1.02
0.47
0.47
0.62
0.62
Class IS
(LIESX) Aug-04-2008
$11.62 0.33 0.86 0.86 w/o sales charge
w/ sales charge
-5.76
-5.76
-15.62
-15.62
3.06
3.06
-
-
-
-
-
-
-17.66
-17.66
Class R
(LMIRX) Dec-28-2006
$11.60 0.33 1.89 1.60 w/o sales charge
w/ sales charge
-6.22
-6.22
-15.76
-15.76
2.29
2.29
-17.76
-17.76
-
-
-
-
-13.24
-13.24
MSCI EAFE - Net Index           N/A -13.97 5.92 -13.38 0.88 0.16 -
CALENDAR YEAR PERFORMANCE (%)
YEARClass AClass CClass FIClass IClass ISClass R
 
2009N/A19.6520.3520.8720.9220.06
 
2008N/A-45.95-45.54-45.38N/A-45.80
 
2007N/A8.279.039.40N/A8.67
 
2006N/A26.3927.2827.70N/AN/A
 
2005N/A19.1120.0320.38N/AN/A
 
2004N/A20.8621.7222.06N/AN/A
 
2003N/A39.82N/A41.32N/AN/A
 
2002N/A-12.73N/A-12.02N/AN/A
 
2001N/A-19.03N/A-18.19N/AN/A
 
2000N/A-19.10N/A-18.28N/AN/A
 
GROWTH OF $10,000Inception through Jul-31-2010

YTD (Year-to-Date) returns are cumulative figures and are not annualized. YTD returns are calculated from January 1 of the reporting year. Returns assume reinvestment of all distributions at net asset value and the deduction of all fund expenses. Performance data does not reflect trade date adjustment made to the NAV at the month end. Performance would have been lower if fees had not been waived in various periods.

Class I shares are sold at net asset value with no initial or contingent deferred sales charge, but higher initial minimum investment requirements apply.

Performance for other share classes will vary due to differences in sales charge structure and class expenses. All classes of shares are not available through all distribution channels. For additional information and performance on share classes not shown, please contact your financial advisor or see the Fund’s prospectus.

*Change indicates change in the NET ASSET VALUE from the previous business day.

** Gross expenses are the Fund's total annual operating expenses for the share class(es) indicated as of the date of the Fund's most current prospectus and do not reflect fee waivers or reimbursements. These expenses include management fees, 12b-1 distribution and service fees, and other expenses. In periods of market volatility, assets may decline significantly, causing total annual fund operating expenses to become higher than the numbers shown in the table above.

***Net expenses are the Fund's total annual operating expenses for the share classes indicated as of the date of the Fund's most current prospectus and would reflect voluntary fee waivers and/or reimbursements, where these reductions reduce the fund's gross expenses. These waivers and/or reimbursements may be reduced or terminated at any time.

An investor cannot invest directly in an index. Click here for Index Definitions.

Prior to February 2, 2009, Class C shares were known as Primary shares.

Different minimums may apply to clients of certain service agents. See the Fund's prospectus for additional information.

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.

This site is intended for U.S. investors only. The products and services described on this site are generally not available to non-U.S. investors.


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