Western Asset Investment Grade Income Fund Inc.

Historical 13F Holders

Symbol
PAI
CUSIP
95766T100
All holders as of
Q1 2025
Type
Equity
Class
COM
Reported Value, Excluding Options
Total Filings
Period Filings Shares, Excl. Options Value, Excl. Options
2025 Q1 34 2.09 M $26.9 M
2024 Q4 36 2.15 M $26.9 M
2024 Q3 42 2.19 M $34.1 M
2024 Q2 42 2.09 M $25.2 M
2024 Q1 41 2.07 M $25.0 M
2023 Q4 39 2.17 M $26.2 M
2023 Q3 40 1.95 M $21.9 M
2023 Q2 38 1.82 M $21.2 M
2023 Q1 33 1.63 M $19.5 M
2022 Q4 33 1.60 M $18.5 M
2022 Q3 35 1.54 M $17.3 M
2022 Q2 30 1.33 M $16.1 M
2022 Q1 31 943 k $12.9 M
2021 Q4 27 690 k $10.8 M
2021 Q3 26 689 k $10.8 M
2021 Q2 33 803 k $12.6 M
2021 Q1 30 714 k $10.8 M
2020 Q4 29 650 k $10.3 M
2020 Q3 23 586 k $9.44 M
2020 Q2 28 672 k $10.1 M
2020 Q1 28 733 k $9.77 M
2019 Q4 29 569 k $8.83 M
2019 Q3 23 517 k $8.40 M
2019 Q2 23 483 k $7.18 M
2019 Q1 25 516 k $7.61 M
2018 Q4 24 471 k $6.22 M
2018 Q3 24 577 k $7.78 M
2018 Q2 27 692 k $10.5 M
2018 Q1 26 677 k $9.38 M
2017 Q4 25 568 k $8.98 M
2017 Q3 22 518 k $8.51 M
2017 Q2 22 615 k $9.17 M
2017 Q1 26 803 k $11.6 M
2016 Q4 24 953 k $13.6 M
2016 Q3 24 892 k $13.7 M
2016 Q2 26 1.01 M $14.3 M
2016 Q1 23 1.96 M $26.6 M
2015 Q4 19 2.23 M $29.0 M
2015 Q3 20 2.28 M $30.1 M
2015 Q2 21 2.31 M $30.3 M
2015 Q1 23 2.27 M $31.6 M
2014 Q4 21 2.23 M $30.0 M
2014 Q3 21 2.39 M $32.0 M
2014 Q2 21 2.34 M $32.5 M
2014 Q1 21 2.34 M $31.0 M