Schedule of Investments (unaudited)
September 30, 2024
 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
Corporate Bonds & Notes — 113.0%
Communication Services — 12.5%
Diversified Telecommunication Services — 3.7%
Altice Financing SA, Senior Secured Notes
5.000%
1/15/28
420,000
 $355,650
(a)
Altice Financing SA, Senior Secured Notes
5.750%
8/15/29
1,090,000
876,975
(a)(b)
Altice France Holding SA, Senior Secured Notes
6.000%
2/15/28
820,000
256,175
(a)
Altice France SA, Senior Secured Notes
5.500%
10/15/29
310,000
217,477
(a)
British Telecommunications PLC, Senior Notes
5.125%
12/4/28
500,000
513,933
Orange SA, Junior Subordinated Notes (2.375% to 4/15/25 then EUR 5 year
Swap Rate + 2.359%)
2.375%
1/15/25
100,000
EUR
110,444
(c)(d)(e)
Orange SA, Senior Notes
9.000%
3/1/31
600,000
742,566
Verizon Communications Inc., Senior Notes
3.875%
2/8/29
1,670,000
1,647,986
(b)
Verizon Communications Inc., Senior Notes
2.355%
3/15/32
500,000
430,920
Total Diversified Telecommunication Services
5,152,126
Entertainment — 2.1%
Banijay Entertainment SAS, Senior Secured Notes
8.125%
5/1/29
340,000
353,669
(a)
Netflix Inc., Senior Notes
6.375%
5/15/29
310,000
338,797
Walt Disney Co., Senior Notes
3.350%
3/24/25
300,000
298,190
Walt Disney Co., Senior Notes
2.650%
1/13/31
1,280,000
1,168,770
(b)
Warnermedia Holdings Inc., Senior Notes
3.638%
3/15/25
700,000
695,182
(b)
Total Entertainment
2,854,608
Interactive Media & Services — 0.1%
Match Group Holdings II LLC, Senior Notes
3.625%
10/1/31
200,000
179,265
(a)
Media — 3.5%
Charter Communications Operating LLC/Charter Communications Operating
Capital Corp., Senior Secured Notes
6.484%
10/23/45
480,000
463,313
(b)
Comcast Corp., Senior Notes
7.050%
3/15/33
1,000,000
1,169,558
(b)
Comcast Corp., Senior Notes
4.200%
8/15/34
920,000
891,679
(b)
DirecTV Financing LLC/DirecTV Financing Co-Obligor Inc., Senior Secured
Notes
5.875%
8/15/27
130,000
127,730
(a)(b)
DISH DBS Corp., Senior Notes
5.875%
11/15/24
70,000
69,657
DISH DBS Corp., Senior Notes
7.375%
7/1/28
300,000
225,113
DISH DBS Corp., Senior Notes
5.125%
6/1/29
990,000
665,143
(b)
Fox Corp., Senior Notes
3.500%
4/8/30
500,000
476,356
Time Warner Cable LLC, Senior Secured Notes
5.875%
11/15/40
720,000
653,246
Total Media
4,741,795
Wireless Telecommunication Services — 3.1%
CSC Holdings LLC, Senior Notes
11.250%
5/15/28
550,000
531,375
(a)
CSC Holdings LLC, Senior Notes
3.375%
2/15/31
200,000
141,970
(a)
CSC Holdings LLC, Senior Notes
4.500%
11/15/31
740,000
539,324
(a)
Millicom International Cellular SA, Senior Notes
4.500%
4/27/31
500,000
451,107
(a)
Sprint Capital Corp., Senior Notes
6.875%
11/15/28
420,000
458,893
(b)
Sprint Capital Corp., Senior Notes
8.750%
3/15/32
30,000
37,245
(b)
T-Mobile USA Inc., Senior Notes
3.500%
4/15/31
1,140,000
1,073,843
(b)
See Notes to Schedule of Investments.

1
Western Asset Premier Bond Fund 2024 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
September 30, 2024
 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
Wireless Telecommunication Services — continued
Vmed O2 UK Financing I PLC, Senior Secured Notes
4.500%
7/15/31
500,000
GBP
 $578,398
(a)
Vmed O2 UK Financing I PLC, Senior Secured Notes
4.750%
7/15/31
540,000
481,212
(a)
Total Wireless Telecommunication Services
4,293,367
 
Total Communication Services
17,221,161
Consumer Discretionary — 16.6%
Automobile Components — 2.7%
Adient Global Holdings Ltd., Senior Notes
4.875%
8/15/26
580,000
575,016
(a)
American Axle & Manufacturing Inc., Senior Notes
6.500%
4/1/27
740,000
742,508
(b)
American Axle & Manufacturing Inc., Senior Notes
5.000%
10/1/29
350,000
321,678
Garrett Motion Holdings Inc./Garrett LX I Sarl, Senior Notes
7.750%
5/31/32
270,000
276,522
(a)
JB Poindexter & Co. Inc., Senior Notes
8.750%
12/15/31
890,000
942,077
(a)(b)
ZF North America Capital Inc., Senior Notes
4.750%
4/29/25
500,000
496,015
(a)
ZF North America Capital Inc., Senior Notes
7.125%
4/14/30
280,000
290,462
(a)
Total Automobile Components
3,644,278
Automobiles — 4.0%
Ford Motor Co., Senior Notes
3.250%
2/12/32
1,700,000
1,448,314
(b)
General Motors Co., Senior Notes
6.125%
10/1/25
130,000
131,275
(b)
General Motors Co., Senior Notes
4.200%
10/1/27
750,000
743,779
(b)
General Motors Co., Senior Notes
6.600%
4/1/36
140,000
151,553
(b)
Mercedes-Benz Finance North America LLC, Senior Notes
8.500%
1/18/31
1,000,000
1,212,310
(b)
Nissan Motor Acceptance Co. LLC, Senior Notes
2.750%
3/9/28
1,570,000
1,438,289
(a)(b)
Volkswagen Group of America Finance LLC, Senior Notes
1.250%
11/24/25
400,000
385,222
(a)
Total Automobiles
5,510,742
Broadline Retail — 1.5%
Amazon.com Inc., Senior Notes
2.100%
5/12/31
700,000
619,924
Marks & Spencer PLC, Senior Notes
7.125%
12/1/37
1,050,000
1,158,739
(a)(b)
Prosus NV, Senior Notes
4.193%
1/19/32
300,000
281,297
(d)
Total Broadline Retail
2,059,960
Distributors — 0.5%
Ritchie Bros Holdings Inc., Senior Notes
7.750%
3/15/31
610,000
650,418
(a)
Diversified Consumer Services — 0.2%
Carriage Services Inc., Senior Notes
4.250%
5/15/29
280,000
259,650
(a)
WW International Inc., Senior Secured Notes
4.500%
4/15/29
320,000
73,859
(a)
Total Diversified Consumer Services
333,509
Hotels, Restaurants & Leisure — 6.7%
888 Acquisitions Ltd., Senior Secured Notes
7.558%
7/15/27
600,000
EUR
656,077
(a)
Carnival PLC, Senior Notes
1.000%
10/28/29
1,210,000
EUR
1,173,039
Las Vegas Sands Corp., Senior Notes
3.900%
8/8/29
1,310,000
1,249,397
(b)
Marston’s Issuer PLC, Secured Notes (SONIA + 2.669%)
7.716%
7/16/35
540,000
GBP
581,229
(d)(e)
NCL Corp. Ltd., Senior Notes
3.625%
12/15/24
534,000
533,549
(a)
NCL Corp. Ltd., Senior Notes
7.750%
2/15/29
130,000
139,402
(a)
NCL Corp. Ltd., Senior Secured Notes
8.125%
1/15/29
140,000
149,831
(a)
NCL Finance Ltd., Senior Notes
6.125%
3/15/28
700,000
714,496
(a)
Royal Caribbean Cruises Ltd., Senior Notes
5.375%
7/15/27
1,150,000
1,161,073
(a)(b)
Royal Caribbean Cruises Ltd., Senior Notes
5.500%
4/1/28
720,000
729,579
(a)(b)
Saga PLC, Senior Notes
5.500%
7/15/26
140,000
GBP
177,571
(d)
See Notes to Schedule of Investments.

2
Western Asset Premier Bond Fund 2024 Quarterly Report

 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Hotels, Restaurants & Leisure — continued
Sands China Ltd., Senior Notes
3.250%
8/8/31
1,340,000
 $1,179,109
Wynn Macau Ltd., Senior Notes
5.625%
8/26/28
200,000
194,330
(a)
Wynn Macau Ltd., Senior Notes
5.125%
12/15/29
620,000
583,110
(a)
Total Hotels, Restaurants & Leisure
9,221,792
Household Durables — 0.5%
Lennar Corp., Senior Notes
5.000%
6/15/27
430,000
437,034
Lennar Corp., Senior Notes
4.750%
11/29/27
250,000
253,308
Total Household Durables
690,342
Specialty Retail — 0.5%
Global Auto Holdings Ltd./AAG FH UK Ltd., Senior Notes
8.750%
1/15/32
200,000
187,307
(a)
Michaels Cos. Inc., Senior Secured Notes
5.250%
5/1/28
190,000
140,428
(a)
Sally Holdings LLC/Sally Capital Inc., Senior Notes
6.750%
3/1/32
400,000
411,191
Total Specialty Retail
738,926
 
Total Consumer Discretionary
22,849,967
Consumer Staples — 2.5%
Beverages — 1.1%
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide Inc., Senior
Notes
4.700%
2/1/36
1,540,000
1,546,912
(b)
Food Products — 0.6%
JBS USA Holding Lux Sarl/JBS USA Food Co./JBS Lux Co. Sarl, Senior Notes
3.750%
12/1/31
500,000
460,176
Kraft Heinz Foods Co., Senior Notes
5.500%
6/1/50
340,000
350,042
(b)
Total Food Products
810,218
Tobacco — 0.8%
Altria Group Inc., Senior Notes
2.450%
2/4/32
1,000,000
853,820
(b)
Reynolds American Inc., Senior Notes
5.850%
8/15/45
260,000
260,274
Total Tobacco
1,114,094
 
Total Consumer Staples
3,471,224
Energy — 21.1%
Energy Equipment & Services — 0.7%
Halliburton Co., Senior Notes
4.850%
11/15/35
750,000
749,205
Noble Finance II LLC, Senior Notes
8.000%
4/15/30
280,000
289,115
(a)
Total Energy Equipment & Services
1,038,320
Oil, Gas & Consumable Fuels — 20.4%
Anadarko Finance Co., Senior Notes
7.500%
5/1/31
570,000
613,746
Burlington Resources LLC, Senior Notes
7.400%
12/1/31
450,000
527,193
Cheniere Energy Partners LP, Senior Notes
4.000%
3/1/31
500,000
473,552
Columbia Pipeline Group Inc., Senior Notes
4.500%
6/1/25
500,000
498,725
(b)
Continental Resources Inc., Senior Notes
4.375%
1/15/28
210,000
207,020
Continental Resources Inc., Senior Notes
4.900%
6/1/44
250,000
213,963
Crescent Energy Finance LLC, Senior Notes
7.625%
4/1/32
350,000
350,401
(a)
Diamondback Energy Inc., Senior Notes
3.500%
12/1/29
400,000
380,596
Ecopetrol SA, Senior Notes
5.875%
5/28/45
390,000
293,020
Ecopetrol SA, Senior Notes
5.875%
11/2/51
2,400,000
1,746,172
Energy Transfer LP, Junior Subordinated Notes (6.625% to 2/15/28 then 3 mo.
USD LIBOR + 4.155%)
6.625%
2/15/28
550,000
544,179
(c)(e)
EOG Resources Inc., Senior Notes
3.150%
4/1/25
2,250,000
2,232,403
(b)
See Notes to Schedule of Investments.

3
Western Asset Premier Bond Fund 2024 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
September 30, 2024
 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Oil, Gas & Consumable Fuels — continued
EQM Midstream Partners LP, Senior Notes
4.500%
1/15/29
230,000
 $225,183
(a)
EQM Midstream Partners LP, Senior Notes
7.500%
6/1/30
280,000
307,709
(a)
EQT Corp., Senior Notes
3.900%
10/1/27
1,050,000
1,032,588
(b)
EQT Corp., Senior Notes
5.000%
1/15/29
1,260,000
1,275,541
(b)
Hilcorp Energy I LP/Hilcorp Finance Co., Senior Notes
8.375%
11/1/33
280,000
302,086
(a)
KazMunayGas National Co. JSC, Senior Notes
3.500%
4/14/33
1,120,000
978,277
(a)
Kinder Morgan Inc., Senior Notes
7.750%
1/15/32
190,000
221,980
Kinder Morgan Inc., Senior Notes
5.550%
6/1/45
1,500,000
1,483,082
(b)
New Generation Gas Gathering LLC, Senior Secured Notes (3 mo. Term SOFR
+ 5.750%)
10.342%
9/30/29
86,487
85,189
(a)(e)(f)
NGPL PipeCo LLC, Senior Notes
7.768%
12/15/37
490,000
580,439
(a)
Occidental Petroleum Corp., Senior Notes
6.200%
3/15/40
250,000
259,747
ONEOK Inc., Senior Notes
5.550%
11/1/26
500,000
511,485
Pan American Energy LLC, Senior Notes
8.500%
4/30/32
400,000
422,684
(a)
Permian Resources Operating LLC, Senior Notes
6.250%
2/1/33
330,000
335,567
(a)
Petrobras Global Finance BV, Senior Notes
6.750%
1/27/41
920,000
931,345
Petroleos del Peru SA, Senior Notes
4.750%
6/19/32
670,000
530,082
(a)
Petroleos Mexicanos, Senior Notes
5.500%
6/27/44
360,000
234,508
Puma International Financing SA, Senior Notes
7.750%
4/25/29
550,000
566,088
(a)
Range Resources Corp., Senior Notes
4.875%
5/15/25
190,000
189,196
Range Resources Corp., Senior Notes
8.250%
1/15/29
300,000
310,772
Rockies Express Pipeline LLC, Senior Notes
7.500%
7/15/38
350,000
364,802
(a)
Sabine Pass Liquefaction LLC, Senior Secured Notes
5.000%
3/15/27
1,850,000
1,874,589
(b)
Southern Natural Gas Co. LLC, Senior Notes
4.800%
3/15/47
800,000
714,478
(a)(b)
Summit Midstream Holdings LLC/Summit Midstream Finance Corp., Secured
Notes
9.500%
10/15/26
280,000
286,405
(a)
Targa Resources Partners LP/Targa Resources Partners Finance Corp., Senior
Notes
6.500%
7/15/27
250,000
253,321
Targa Resources Partners LP/Targa Resources Partners Finance Corp., Senior
Notes
6.875%
1/15/29
20,000
20,522
Tengizchevroil Finance Co. International Ltd., Senior Secured Notes
3.250%
8/15/30
350,000
305,131
(a)
Transcontinental Gas Pipe Line Co. LLC, Senior Notes
7.850%
2/1/26
1,000,000
1,034,588
(b)
Transportadora de Gas del Peru SA, Senior Notes
4.250%
4/30/28
600,000
590,260
(a)
Venture Global LNG Inc., Junior Subordinated Notes (9.000% to 9/30/29 then
5 year Treasury Constant Maturity Rate + 5.440%)
9.000%
9/30/29
380,000
385,470
(a)(c)(e)
Venture Global LNG Inc., Senior Secured Notes
9.875%
2/1/32
240,000
266,836
(a)
Western Midstream Operating LP, Senior Notes
4.050%
2/1/30
900,000
867,095
(b)
Western Midstream Operating LP, Senior Notes
5.300%
3/1/48
100,000
90,895
Western Midstream Operating LP, Senior Notes
5.250%
2/1/50
1,680,000
1,524,947
(g)
Williams Cos. Inc., Senior Notes
7.500%
1/15/31
443,000
505,404
Williams Cos. Inc., Senior Notes
8.750%
3/15/32
39,000
47,748
Total Oil, Gas & Consumable Fuels
27,997,009
 
Total Energy
29,035,329
See Notes to Schedule of Investments.

4
Western Asset Premier Bond Fund 2024 Quarterly Report

 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Financials — 23.0%
Banks — 13.0%
Banco Mercantil del Norte SA, Junior Subordinated Notes (6.625% to 1/24/32
then 10 year Treasury Constant Maturity Rate + 5.034%)
6.625%
1/24/32
490,000
 $456,056
(a)(c)(e)
Bank of America Corp., Subordinated Notes
4.250%
10/22/26
1,500,000
1,499,606
(b)
Bank of Nova Scotia, Senior Notes
2.700%
8/3/26
500,000
487,543
Barclays PLC, Subordinated Notes
5.200%
5/12/26
1,000,000
1,006,640
(b)
BBVA Bancomer SA, Subordinated Notes (5.125% to 1/17/28 then 5 year
Treasury Constant Maturity Rate + 2.650%)
5.125%
1/18/33
300,000
285,573
(a)(e)
BNP Paribas SA, Junior Subordinated Notes (7.375% to 8/19/25 then USD 5
year ICE Swap Rate + 5.150%)
7.375%
8/19/25
610,000
617,004
(a)(b)(c)(e)
Citigroup Inc., Junior Subordinated Notes (5.950% to 5/15/25 then 3 mo. Term
SOFR + 4.167%)
5.950%
5/15/25
900,000
902,273
(b)(c)(e)
Citigroup Inc., Subordinated Notes
4.125%
7/25/28
800,000
793,667
(b)
Citigroup Inc., Subordinated Notes
6.625%
6/15/32
1,000,000
1,108,150
(b)
Credit Agricole SA, Junior Subordinated Notes (8.125% to 12/23/25 then USD
5 year ICE Swap Rate + 6.185%)
8.125%
12/23/25
1,080,000
1,112,265
(a)(b)(c)(e)
HSBC Holdings PLC, Junior Subordinated Notes (6.000% to 5/22/27 then USD
5 year ICE Swap Rate + 3.746%)
6.000%
5/22/27
400,000
402,776
(c)(e)
HSBC Holdings PLC, Senior Notes (3.973% to 5/22/29 then 3 mo. Term SOFR +
1.872%)
3.973%
5/22/30
1,130,000
1,101,317
(b)(e)
HSBC Holdings PLC, Subordinated Notes (8.113% to 11/3/32 then SOFR +
4.250%)
8.113%
11/3/33
700,000
832,586
(e)
Intesa Sanpaolo SpA, Subordinated Notes
5.710%
1/15/26
1,260,000
1,270,258
(a)
JPMorgan Chase & Co., Junior Subordinated Notes (6.100% to 10/1/24 then 3
mo. Term SOFR + 3.592%)
6.100%
10/1/24
400,000
400,000
(c)(e)
JPMorgan Chase & Co., Subordinated Notes
4.950%
6/1/45
500,000
499,665
(b)
Lloyds Banking Group PLC, Junior Subordinated Notes (7.500% to 9/27/25
then USD 5 year ICE Swap Rate + 4.496%)
7.500%
9/27/25
500,000
505,822
(c)(e)
Lloyds Banking Group PLC, Subordinated Notes
4.650%
3/24/26
1,500,000
1,497,750
(b)
PNC Financial Services Group Inc., Senior Notes
2.550%
1/22/30
750,000
688,121
(b)
PNC Financial Services Group Inc., Senior Notes (5.812% to 6/12/25 then
SOFR + 1.322%)
5.812%
6/12/26
750,000
755,047
(b)(e)
Santander UK Group Holdings PLC, Subordinated Notes
5.625%
9/15/45
1,000,000
888,673
(a)(b)
Truist Financial Corp., Senior Notes (5.711% to 1/24/34 then SOFR + 1.922%)
5.711%
1/24/35
700,000
737,707
(e)
Total Banks
17,848,499
Capital Markets — 5.8%
Charles Schwab Corp., Junior Subordinated Notes (4.000% to 12/1/30 then 10
year Treasury Constant Maturity Rate + 3.079%)
4.000%
12/1/30
2,000,000
1,791,084
(b)(c)(e)
CME Group Inc., Senior Notes
3.000%
3/15/25
500,000
496,147
Credit Suisse AG AT1 Claim
2,560,000
76,800
*(f)(h)
Daimler Truck Finance North America LLC, Senior Notes
5.200%
1/17/25
400,000
400,125
(a)
Goldman Sachs Group Inc., Senior Notes (2.640% to 2/24/27 then SOFR +
1.114%)
2.640%
2/24/28
2,400,000
2,307,216
(e)(g)
KKR Group Finance Co. VI LLC, Senior Notes
3.750%
7/1/29
500,000
485,876
(a)(b)
Morgan Stanley, Senior Notes (2.699% to 1/22/30 then SOFR + 1.143%)
2.699%
1/22/31
500,000
458,149
(e)
UBS AG, Senior Notes
7.500%
2/15/28
400,000
439,457
(b)
See Notes to Schedule of Investments.

5
Western Asset Premier Bond Fund 2024 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
September 30, 2024
 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Capital Markets — continued
UBS Group AG, Junior Subordinated Notes (6.875% to 8/7/25 then USD 5 year
ICE Swap Rate + 4.590%)
6.875%
8/7/25
680,000
 $683,070
(c)(d)(e)
UBS Group AG, Senior Notes (6.537% to 8/12/32 then SOFR + 3.920%)
6.537%
8/12/33
770,000
850,390
(a)(b)(e)
Total Capital Markets
7,988,314
Financial Services — 2.9%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
3.400%
10/29/33
2,500,000
2,212,902
(g)
Ahold Lease USA Inc. Pass-Through-Trust, Senior Secured Notes
8.620%
1/2/25
1,459
1,471
Boost Newco Borrower LLC/GTCR W Dutch Finance Sub BV, Senior Secured
Notes
8.500%
1/15/31
100,000
GBP
145,007
(a)
Jane Street Group/JSG Finance Inc., Senior Secured Notes
7.125%
4/30/31
790,000
837,708
(a)
VFH Parent LLC/Valor Co-Issuer Inc., Senior Secured Notes
7.500%
6/15/31
380,000
398,854
(a)
VistaJet Malta Finance PLC/Vista Management Holding Inc., Senior Notes
6.375%
2/1/30
400,000
344,008
(a)
Total Financial Services
3,939,950
Insurance — 1.0%
MetLife Inc., Junior Subordinated Notes
10.750%
8/1/39
500,000
715,576
Nuveen Finance LLC, Senior Notes
4.125%
11/1/24
650,000
649,310
(a)(b)
Total Insurance
1,364,886
Mortgage Real Estate Investment Trusts (REITs) — 0.3%
Starwood Property Trust Inc., Senior Notes
7.250%
4/1/29
350,000
367,434
(a)
 
Total Financials
31,509,083
Health Care — 13.8%
Biotechnology — 1.1%
AbbVie Inc., Senior Notes
2.950%
11/21/26
500,000
489,614
Amgen Inc., Senior Notes
2.450%
2/21/30
400,000
365,460
Gilead Sciences Inc., Senior Notes
1.200%
10/1/27
750,000
691,587
Total Biotechnology
1,546,661
Health Care Equipment & Supplies — 0.8%
Becton Dickinson and Co., Senior Notes
3.700%
6/6/27
500,000
493,796
Solventum Corp., Senior Notes
5.600%
3/23/34
500,000
517,985
(a)
Total Health Care Equipment & Supplies
1,011,781
Health Care Providers & Services — 8.4%
Centene Corp., Senior Notes
3.375%
2/15/30
2,440,000
2,250,343
(b)
CHS/Community Health Systems Inc., Senior Secured Notes
10.875%
1/15/32
500,000
551,618
(a)
Cigna Group, Senior Notes
2.400%
3/15/30
1,000,000
905,803
CVS Health Corp., Senior Notes
3.250%
8/15/29
500,000
472,485
CVS Health Corp., Senior Notes
3.750%
4/1/30
1,000,000
958,500
(b)
CVS Health Corp., Senior Notes
5.250%
2/21/33
400,000
408,841
CVS Pass-Through Trust
5.789%
1/10/26
66,617
66,777
(a)
CVS Pass-Through Trust
7.507%
1/10/32
242,884
259,039
(a)(b)
CVS Pass-Through Trust, Secured Trust
5.880%
1/10/28
151,550
151,137
CVS Pass-Through Trust, Secured Trust
6.943%
1/10/30
209,031
218,808
(b)
CVS Pass-Through Trust, Senior Secured Trust
6.036%
12/10/28
176,706
179,759
(b)
Elevance Health Inc., Senior Notes
4.100%
5/15/32
750,000
732,312
HCA Inc., Senior Notes
4.500%
2/15/27
1,000,000
1,001,444
(b)
HCA Inc., Senior Notes
3.500%
9/1/30
1,000,000
942,668
(b)
Humana Inc., Senior Notes
5.875%
3/1/33
400,000
424,862
See Notes to Schedule of Investments.

6
Western Asset Premier Bond Fund 2024 Quarterly Report

 Western Asset Premier Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount†
Value
 
Health Care Providers & Services — continued
Legacy LifePoint Health LLC, Senior Secured Notes
4.375%
2/15/27
360,000
 $353,347
(a)
Sotera Health Holdings LLC, Senior Secured Notes
7.375%
6/1/31
480,000
499,084
(a)
Tenet Healthcare Corp., Secured Notes
6.250%
2/1/27
670,000
671,463
UnitedHealth Group Inc., Senior Notes
2.000%
5/15/30
500,000
445,936
Total Health Care Providers & Services
11,494,226
Pharmaceuticals — 3.5%
Endo Finance Holdings Inc., Senior Secured Notes
8.500%
4/15/31
480,000
514,936
(a)
Johnson & Johnson, Senior Notes
0.550%
9/1/25
1,000,000
968,758
Par Pharmaceutical Inc., Escrow
330,000
0
*(a)(f)(h)(i)
Pfizer Inc., Senior Notes
3.000%
12/15/26
500,000
490,592
(b)
Pfizer Investment Enterprises Pte Ltd., Senior Notes
4.750%
5/19/33
1,300,000
1,325,543
(b)
Teva Pharmaceutical Finance Netherlands III BV, Senior Notes
3.150%
10/1/26
780,000
750,326
(b)
Teva Pharmaceutical Finance Netherlands III BV, Senior Notes
5.125%
5/9/29
646,000
641,328
Teva Pharmaceutical Finance Netherlands III BV, Senior Notes
4.100%
10/1/46
200,000
148,833
Total Pharmaceuticals
4,840,316
 
Total Health Care
18,892,984
Industrials — 10.9%
Aerospace & Defense — 2.4%
Avolon Holdings Funding Ltd., Senior Notes
3.250%
2/15/27
750,000
723,712
(a)(b)
Avolon Holdings Funding Ltd., Senior Notes
2.750%
2/21/28
1,000,000
934,914
(a)(b)
Boeing Co., Senior Notes
3.200%
3/1/29
500,000
462,985
(b)
Bombardier Inc., Senior Notes
7.500%
2/1/29
310,000
328,278
(a)
TransDigm Inc., Senior Secured Notes
7.125%
12/1/31
730,000
773,005
(a)(b)
Total Aerospace & Defense
3,222,894
Building Products — 0.5%
Masterbrand Inc., Senior Notes
7.000%
7/15/32
170,000
178,300
(a)
Standard Industries Inc., Senior Notes
4.375%
7/15/30
578,000
547,500
(a)(b)
Total Building Products
725,800
Commercial Services & Supplies — 1.4%
CoreCivic Inc., Senior Notes
8.250%
4/15/29
860,000
911,070
(b)
GEO Group Inc., Senior Notes
10.250%
4/15/31
460,000
490,821
GEO Group Inc., Senior Secured Notes
8.625%
4/15/29
340,000
353,731
GFL Environmental Inc., Senior Secured Notes
6.750%
1/15/31
190,000
199,516
(a)
Total Commercial Services & Supplies
1,955,138
Construction & Engineering — 0.2%
Arcosa Inc., Senior Notes
6.875%
8/15/32
210,000
219,955
(a)
Industrial Conglomerates — 0.3%
Honeywell International Inc., Senior Notes
2.700%
8/15/29
500,000
472,672
Machinery — 0.5%
Cellnex Finance Co. SA, Senior Notes
2.000%
2/15/33
500,000
EUR
493,983
(d)
Titan International Inc., Senior Secured Notes
7.000%
4/30/28
210,000
209,164
Total Machinery
703,147
Passenger Airlines — 2.9%
American Airlines Group Inc., Senior Notes
3.750%
3/1/25
570,000
564,667
(a)(b)
American Airlines Inc., Senior Secured Notes
8.500%
5/15/29
620,000
658,216
(a)(b)