Western Asset Premier Bond Fund

Historical 13F Holders

Symbol
WEA
CUSIP
957664105
All holders as of
Q1 2025
Type
Equity
Class
SHS BEN INT
Reported Value, Excluding Options
Total Filings
Period Filings Shares, Excl. Options Value, Excl. Options
2025 Q1 42 5.74 M $66.3 M
2024 Q4 41 5.70 M $61.4 M
2024 Q3 43 5.38 M $60.6 M
2024 Q2 44 6.62 M $185 M
2024 Q1 48 6.95 M $73.9 M
2023 Q4 41 6.79 M $73.3 M
2023 Q3 41 5.99 M $60.5 M
2023 Q2 42 5.96 M $60.8 M
2023 Q1 41 5.54 M $56.6 M
2022 Q4 38 5.23 M $55.7 M
2022 Q3 41 4.73 M $46.4 M
2022 Q2 41 4.45 M $47.2 M
2022 Q1 45 4.02 M $48.2 M
2021 Q4 35 3.59 M $51.4 M
2021 Q3 36 3.66 M $51.6 M
2021 Q2 33 3.33 M $49.0 M
2021 Q1 30 3.47 M $48.7 M
2020 Q4 32 3.76 M $53.3 M
2020 Q3 33 3.35 M $43.3 M
2020 Q2 31 3.57 M $46.8 M
2020 Q1 34 3.23 M $36.4 M
2019 Q4 34 3.03 M $44.4 M
2019 Q3 37 3.14 M $44.6 M
2019 Q2 32 3.19 M $43.6 M
2019 Q1 34 3.29 M $43.0 M
2018 Q4 35 3.20 M $38.6 M
2018 Q3 39 2.95 M $37.8 M
2018 Q2 34 2.86 M $36.0 M
2018 Q1 36 2.41 M $31.1 M
2017 Q4 33 1.99 M $27.5 M
2017 Q3 34 1.73 M $23.9 M
2017 Q2 35 1.78 M $24.9 M
2017 Q1 36 1.80 M $24.0 M
2016 Q4 39 1.86 M $24.1 M
2016 Q3 35 1.41 M $18.9 M
2016 Q2 34 1.64 M $21.8 M
2016 Q1 36 2.15 M $26.8 M
2015 Q4 36 2.24 M $27.0 M
2015 Q3 31 2.02 M $25.2 M
2015 Q2 37 1.66 M $22.2 M
2015 Q1 36 1.60 M $22.3 M
2014 Q4 32 1.56 M $21.6 M
2014 Q3 28 1.09 M $15.5 M
2014 Q2 26 984 k $14.7 M
2014 Q1 29 1.02 M $14.9 M