SHMMX
Western Asset Managed Municipals Fund
Legg Mason Partners Income Trust

Portfolio concentration

As of February 27, 2026 · N-PORT
Holdings
648
Top-10 weight
10.90%
Effective holdings ?
270
Crowding ?
34.5

Holdings

As of February 27, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Puerto Rico Commonwealth Aqueduct & Sewer Authority, Series A PRCUTL 36,355,000 $36.44M 1.47%
2 STATE OF NEW YORK SALES TAX REVENUE 5.0% 03-15-48 30,000,000 $31.50M 1.27%
3 California (State of) Community Choice Financing Authority (Clean Energy) (Green Bonds), Series 2024, RB CCEDEV 29,000,000 $30.67M 1.24%
4 State of Illinois, Series D ILS 29,275,000 $30.54M 1.23%
5 CALIFORNIA COMMUNITY VAR CCEDEV 25,000,000 $27.36M 1.10%
6 NEW YORK ST DORM AUTH ST PERSONAL INCOME TAX REVENUE 25,000,000 $25.32M 1.02%
7 NY ST DORM DASNY PIT 20A 4.0% 03-15-45 25,000,000 $24.34M 0.98%
8 NYC TRANSITIONAL -C-1 23,000,000 $24.07M 0.97%
9 PENNSYLVANIA ST ECON DEV FING REGD OID B/E AMT 5.25000000 22,300,000 $22.69M 0.92%
10 NY TRANS CORP 5% 7/1/46 @ 22,380,000 $22.39M 0.90%
11 MSR Energy Authority, Series B MSRPWR 17,615,000 $21.89M 0.88%
12 TRIBOROUGH NY BRIDGE & TUNNEL REGD B/E 5.00000000 18,325,000 $19.12M 0.77%
13 NASHVILLE& DAVIDSON-C 18,205,000 $18.31M 0.74%
14 NY NYCUTL 5.25 06/15/2052 NYCUTL 17,015,000 $17.97M 0.73%
15 NY TRANS CORP(JFK INT NEW ONE)/AGM 5.13% 6/30/60@ 17,750,000 $17.93M 0.72%
16 ILL ST TOLL 5% 1/1/2042 ILSTRN 17,075,000 $17.63M 0.71%
17 NY TRANS CORP 5.375% 6/30/2060 @ 17,500,000 $17.57M 0.71%
18 NOVANT HEALTH OBLIGATED GROUP 5.0% 12-01-35 15,200,000 $17.49M 0.71%
19 PUERTO RICO SALES TAX FING COR REGD OID B/E 4.75000000 PRCGEN 17,117,000 $16.69M 0.67%
20 NYC WTR 4% 6/15/2051 17,460,000 $16.22M 0.65%
21 CHICAGO IL BRD OF EDU REGD B/E 5.00000000 16,040,000 $16.17M 0.65%
22 NY TRANS CORP 5% 7/1/41 @ 16,120,000 $16.14M 0.65%
23 BAY AREA TOLL-VAR A BAYTRN 15,495,000 $15.52M 0.63%
24 Public Energy Auth. of Kentucky Gas Supply Rev. Refg. C KYSPWR 14,000,000 $15.40M 0.62%
25 CALIFORNIA ST MUNI FIN AUTH REVENUE 15,020,000 $15.27M 0.62%
26 FL BROAPT 5 10/01/2045 BROAPT 15,000,000 $15.01M 0.61%
27 NOVANT HEALTH OBLIGATED GROUP 5.0% 06-01-55 14,750,000 $14.79M 0.60%
28 NY MTA DED 4% 11/15/2054 15,860,000 $14.72M 0.59%
29 NV CLA 5 05/01/2048 CLA 13,780,000 $14.10M 0.57%
30 STATE OF NEW JERSEY 5.0% 06-15-42 11,900,000 $13.26M 0.54%
31 STATE OF NEW YORK PERSONAL INCOME TAX REVENUE 4.0% 02-15-40 12,815,000 $12.99M 0.52%
32 RESTRUCTURED-SER A1 PRC 12,810,518 $12.84M 0.52%
33 STATE OF ILLINOIS MCCORMICK PLACE EXPANSION PROJECT FUND 4.0% 06-15-50 14,600,000 $12.81M 0.52%
34 NYC MUNI WTR FIN-AA-3 11,695,000 $12.33M 0.50%
35 CALIFORNIA COMMUNITY VAR CCEDEV 10,900,000 $12.17M 0.49%
36 Chandler Industrial Development Authority, Series 2019 CHADEV 11,600,000 $11.94M 0.48%
37 Puerto Rico Commonwealth Aqueduct & Sewer Authority, Series A PRCUTL 12,145,000 $11.80M 0.48%
38 NJ TRANSPRTN TRUST-CC 11,000,000 $11.71M 0.47%
39 LANCASTER H AUT 5% 11/1/2046 11,385,000 $11.61M 0.47%
40 Puerto Rico Commonwealth Aqueduct & Sewer Authority, Series A 10,895,000 $11.46M 0.46%
41 NY TRANS CORP 5% 1/1/2032 @ 11,055,000 $11.44M 0.46%
42 Puerto Rico Commonwealth Aqueduct & Sewer Authority, Series A 10,625,000 $11.34M 0.46%
43 NYC TRANSITIONAL FIN 12,000,000 $10.94M 0.44%
44 NYC TRANS FIN-F1 10,550,000 $10.77M 0.43%
45 California Community Choice Financing Authority, Series B-1 10,000,000 $10.64M 0.43%
46 Southeast Energy Authority, Alabama, Revenue Bonds, Cooperative District Energy Supply Series 2025B SEEPWR 9,925,000 $10.64M 0.43%
47 AL ALSFAC 5.25 07/01/2047 ALSFAC 10,000,000 $10.57M 0.43%
48 ELGIN TX ISD 4% 8/1/2049 10,600,000 $10.08M 0.41%
49 Jefferson (County of), AL, Series 2024, Ref. Revenue Wts. JEFUTL 9,500,000 $10.08M 0.41%
50 California Community Choice Financing Authority, Series 2025G CCEDEV 8,900,000 $10.03M 0.40%
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