WESTERN ASSET EMERGING MARKETS DEBT FUND CLASS I(SEMDX) USD 3.93
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20225.51%USD 0.217USD0.061012022-12-20
USD0.050542022-09-30
USD0.057592022-06-30
USD0.047472022-03-31
20213.98%USD 0.156USD0.059792021-12-20
USD0.032252021-09-30
USD0.047422021-06-30
USD0.01682021-03-31
20202.54%USD 0.1USD0.061792020-12-18
USD0.009122020-09-30
USD0.028722020-03-31
20194.27%USD 0.168USD0.055442019-12-19
USD0.052452019-09-30
USD0.027352019-06-28
USD0.032672019-03-29
20186.74%USD 0.265USD0.061122018-12-20
USD0.05382018-09-27
USD0.103642018-06-28
USD0.046482018-03-28
20176.40%USD 0.251USD0.077312017-12-21
USD0.063052017-09-29
USD0.064562017-06-30
USD0.046492017-03-31
20165.60%USD 0.22USD0.101062016-12-22
USD0.058812016-09-30
USD0.060372016-06-30
20157.41%USD 0.291USD0.087982015-12-22
USD0.077892015-09-30
USD0.065692015-06-30
USD0.059732015-03-31
20146.32%USD 0.248USD0.082122014-12-23
USD0.066952014-09-30
USD0.060672014-06-27
USD0.038452014-03-28
20138.09%USD 0.318USD0.114362013-12-26
USD0.051442013-09-30
USD0.072122013-06-26
USD0.080032013-03-28
20126.02%USD 0.237USD0.078422012-12-27
USD0.049542012-09-28
USD0.058292012-06-29
USD0.05052012-03-30
20117.13%USD 0.28USD0.089892011-12-28
USD0.051212011-09-30
USD0.066582011-06-30
USD0.072512011-03-31
20104.83%USD 0.19USD0.162342010-12-29
USD0.02762010-06-18
20095.39%USD 0.212USD0.21172009-12-10
200810.02%USD 0.394USD0.268872008-12-12
USD0.1252008-06-19
20079.68%USD 0.38USD0.350252007-12-13
USD0.032007-06-22
200616.28%USD 0.64USD0.5882006-12-08
USD0.0522006-03-21
200512.16%USD 0.478USD0.4782005-12-09
20049.21%USD 0.362USD0.3622004-12-22
200318.96%USD 0.745USD0.5582003-12-16
USD0.1872003-07-25