Class: 
R
Document Download: 
Investment Objective: 

The Fund aims to provide income and to protect and maximize the real asset value of its investments in terms of their international purchasing power by management and diversification of currency exposure and investment in fixed interest bearing securities of varying maturities.  The Fund invests in high quality government and corporate bonds predominantly denominated in US$, Yen, Sterling and Euro.  The fund’s benchmark is Citigroup World Government Bond Index Unhedged

The Sub-Advisor: 

Founded in 1986, Brandywine Global Investment Management (“Brandywine Global”) is a wholly owned, independently operated subsidiary of Legg Mason, Inc., offering an array of equity, fixed income and balanced portfolios that invest in U.S. and International Markets. Brandywine Global currently manages $33 billion in assets.

   
Risk/Return Rating: 
2
Fund Advisor: 
Brandywine Asset Management
Benchmark Index: 
Citigroup WGBI