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LLC N/A CPGX 6.036 11/15/33 144A 19828TAB2 50000.00000000 PA USD 54189.94000000 0.032496201230 Long DBT CORP US N 2 2033-11-15 Fixed 6.03600000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FNS 409 C18 3136FLFM3 11538.84000000 PA USD 2050.98000000 0.001229915714 Long ABS-MBS USGSE US N 2 2042-04-25 Fixed 4.00000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN FS8273 3140XQFP7 85610.19000000 PA USD 74435.55000000 0.044636930978 Long ABS-MBS USGSE US N 2 2042-02-01 Fixed 1.50000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FNR 2015-65 CZ 3136AP3N0 288669.51000000 PA USD 261228.38000000 0.156651400677 Long ABS-O USGSE US N 2 2045-09-25 Fixed 3.50000000 N N N N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS V4.588 08/10/32 144A 225401BS6 440000.00000000 PA USD 441919.18000000 0.265006652544 Long DBT CORP CH N 2 2032-08-10 Fixed 4.58800000 N N N N N N Nike, Inc. 787RXPR0UX0O0XUXPZ81 NKE 2.85 03/27/30 654106AK9 10000.00000000 PA USD 9620.81000000 0.005769332421 Long DBT CORP US N 2 2030-03-27 Fixed 2.85000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FNR 2018-74 AB 3136B3HQ6 233496.61000000 PA USD 223185.98000000 0.133838430489 Long ABS-O USGSE US N 2 2048-10-25 Fixed 3.50000000 N N N N N N BX COMMERCIAL MORTGAGE TRUST 2025-COPT N/A BX 2025-COPT A 05618XAA8 490000.00000000 PA USD 491819.71000000 0.294930613788 Long ABS-O CORP US N 2 2042-08-15 Floating 5.40965000 N N N N N N Federal Home Loan Mortgage Corp. 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WFLLPEPC7FZXENRZV188 BK V4.289 06/13/33 MTN 06406RBH9 290000.00000000 PA USD 287870.31000000 0.172627825793 Long DBT CORP US N 2 2033-06-13 Fixed 4.28900000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 GNR 2010-H26 LF 38375BGS5 8116.88000000 PA USD 8106.72000000 0.004861374720 Long ABS-O USGA US N 2 2058-08-20 Variable 4.14691000 N N N N N N Intel Corporation KNX4USFCNGPY45LOCE31 INTC 3.75 03/25/27 458140BQ2 130000.00000000 PA USD 129822.68000000 0.077851053785 Long DBT CORP US N 2 2027-03-25 Fixed 3.75000000 N N N N N N Oracle Corp. 1Z4GXXU7ZHVWFCD8TV52 ORCL 4.8 09/26/32 68389XDK8 250000.00000000 PA USD 244379.01000000 0.146547301685 Long DBT CORP US N 2 2032-09-26 Fixed 4.80000000 N N N N N N Howmet Aerospace Inc 549300HO5WFZUT5N2T22 HWM 4.55 11/15/32 443201AD0 140000.00000000 PA USD 142731.46000000 0.085592090452 Long DBT CORP US N 2 2032-11-15 Fixed 4.55000000 N N N N N N FREDDIE MAC STRUCTURED PASS THROUGH CERTIFICATES S6XOOCT0IEG5ABCC6L87 FHMS K093 X1 3137FMCT7 1819769.90000000 PA USD 46099.87000000 0.027644811052 Long ABS-O USGSE US N 2 2029-05-25 Variable 0.93796500 N N N N N N Meta Platforms Inc BQ4BKCS1HXDV9HN80Z93 META 4.2 11/15/30 30303MAB8 120000.00000000 PA USD 121084.35000000 0.072610920098 Long DBT CORP US N 2 2030-11-15 Fixed 4.20000000 N N N N N N 2026-04-24 Western Asset Funds Inc Christopher Berarducci Christopher Berarducci Principal Financial Officer XXXX NPORT-EX 2 LMF3600LM022826.htm EDGAR HTML
Schedule of Investments (unaudited)
February 28, 2026
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 Western Asset Intermediate Bond Fund

(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
U.S. Government & Agency Obligations — 39.5%
U.S. Government Obligations — 39.5%
U.S. Treasury Bonds
5.000%
5/15/45
 $10,000
 $10,574
U.S. Treasury Bonds
1.375%
8/15/50
30,000
15,451
U.S. Treasury Notes
3.875%
3/31/27
90,000
90,355
U.S. Treasury Notes
3.875%
5/31/27
120,000
120,581
U.S. Treasury Notes
3.625%
8/31/27
230,000
230,620
U.S. Treasury Notes
3.875%
6/15/28
130,000
131,422
U.S. Treasury Notes
3.625%
8/15/28
250,000
251,455
U.S. Treasury Notes
2.625%
7/31/29
1,730,000
1,686,345
U.S. Treasury Notes
3.875%
11/30/29
290,000
294,344
U.S. Treasury Notes
4.125%
11/30/29
230,000
235,445
U.S. Treasury Notes
4.375%
12/31/29
10,000
10,330
U.S. Treasury Notes
4.000%
3/31/30
50,000
51,008
U.S. Treasury Notes
3.875%
6/30/30
1,280,000
1,300,050
U.S. Treasury Notes
3.875%
7/31/30
240,000
243,792
U.S. Treasury Notes
4.000%
7/31/30
530,000
541,014
U.S. Treasury Notes
3.750%
1/31/31
50,000
50,516
U.S. Treasury Notes
4.000%
1/31/31
1,220,000
1,245,877
U.S. Treasury Notes
4.125%
2/29/32
13,460,000
13,815,428
U.S. Treasury Notes
4.125%
3/31/32
13,510,000
13,866,748
U.S. Treasury Notes
4.000%
4/30/32
13,670,000
13,934,322
U.S. Treasury Notes
4.000%
6/30/32
14,650,000
14,928,407
U.S. Treasury Notes
4.000%
7/31/32
30,000
30,561
U.S. Treasury Notes
2.750%
8/15/32
1,430,000
1,353,947
U.S. Treasury Notes
3.875%
8/15/34
640,000
641,038
U.S. Treasury Notes
4.250%
11/15/34
100,000
102,756
U.S. Treasury Notes
4.125%
2/15/36
40,000
40,534
U.S. Treasury Strip Principal (STRIPS)
0.000%
5/15/49
2,720,000
900,321
 
Total U.S. Government & Agency Obligations (Cost — $65,074,246)
66,123,241
Corporate Bonds & Notes — 29.7%
Communication Services — 2.7%
Diversified Telecommunication Services — 1.1%
AT&T Inc., Senior Notes
2.300%
6/1/27
140,000
137,388
AT&T Inc., Senior Notes
4.700%
8/15/30
180,000
184,598
AT&T Inc., Senior Notes
2.250%
2/1/32
150,000
134,004
NTT Finance Corp., Senior Notes
4.876%
7/16/30
280,000
287,314
(a)
Verizon Communications Inc., Senior Notes
3.875%
2/8/29
130,000
130,190
Verizon Communications Inc., Senior Notes
1.680%
10/30/30
334,000
299,765
Verizon Communications Inc., Senior Notes
4.780%
2/15/35
590,000
587,661
Total Diversified Telecommunication Services
1,760,920
Entertainment — 0.0%††
Discovery Global Holdings Inc., Senior Notes
3.755%
3/15/27
38,000
37,909
Interactive Media & Services — 0.7%
Alphabet Inc., Senior Notes
3.700%
2/15/29
170,000
170,188
Alphabet Inc., Senior Notes
4.000%
5/15/30
100,000
100,719
Alphabet Inc., Senior Notes
4.100%
2/15/31
50,000
50,340
See Notes to Schedule of Investments.

1
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Interactive Media & Services — continued
Alphabet Inc., Senior Notes
4.375%
11/15/32
 $100,000
 $101,394
Alphabet Inc., Senior Notes
4.400%
2/15/33
40,000
40,364
Alphabet Inc., Senior Notes
4.500%
5/15/35
50,000
50,347
Alphabet Inc., Senior Notes
4.700%
11/15/35
10,000
10,129
Alphabet Inc., Senior Notes
4.800%
2/15/36
60,000
61,009
Meta Platforms Inc., Senior Notes
4.200%
11/15/30
120,000
121,084
Meta Platforms Inc., Senior Notes
4.600%
11/15/32
190,000
193,241
Meta Platforms Inc., Senior Notes
4.750%
8/15/34
120,000
121,899
Meta Platforms Inc., Senior Notes
4.875%
11/15/35
130,000
131,344
Total Interactive Media & Services
1,152,058
Media — 0.3%
Charter Communications Operating LLC/Charter Communications
Operating Capital Corp., Senior Secured Notes
4.400%
4/1/33
120,000
114,338
Comcast Corp., Senior Notes
3.300%
4/1/27
100,000
99,500
Comcast Corp., Senior Notes
4.150%
10/15/28
60,000
60,443
Comcast Corp., Senior Notes
3.400%
4/1/30
60,000
58,704
Fox Corp., Senior Notes
4.709%
1/25/29
10,000
10,155
Fox Corp., Senior Notes
6.500%
10/13/33
170,000
186,644
Total Media
529,784
Wireless Telecommunication Services — 0.6%
T-Mobile USA Inc., Senior Notes
3.750%
4/15/27
50,000
49,936
T-Mobile USA Inc., Senior Notes
3.875%
4/15/30
580,000
575,650
T-Mobile USA Inc., Senior Notes
2.550%
2/15/31
120,000
111,108
T-Mobile USA Inc., Senior Notes
2.250%
11/15/31
130,000
116,778
T-Mobile USA Inc., Senior Notes
5.150%
4/15/34
100,000
103,371
Total Wireless Telecommunication Services
956,843
 
Total Communication Services
4,437,514
Consumer Discretionary — 1.4%
Automobiles — 0.5%
Ford Motor Credit Co. LLC, Senior Notes
5.918%
3/20/28
360,000
369,812
General Motors Co., Senior Notes
5.600%
10/15/32
90,000
94,853
Hyundai Capital America, Senior Notes
5.950%
9/21/26
280,000
283,082
(a)
Total Automobiles
747,747
Broadline Retail — 0.3%
Amazon.com Inc., Senior Notes
2.100%
5/12/31
140,000
127,547
Amazon.com Inc., Senior Notes
4.350%
3/20/33
360,000
363,130
Total Broadline Retail
490,677
Hotels, Restaurants & Leisure — 0.5%
Las Vegas Sands Corp., Senior Notes
3.500%
8/18/26
160,000
159,446
Las Vegas Sands Corp., Senior Notes
5.625%
6/15/28
40,000
40,987
Las Vegas Sands Corp., Senior Notes
6.000%
8/15/29
140,000
146,537
Las Vegas Sands Corp., Senior Notes
6.000%
6/14/30
10,000
10,504
McDonald’s Corp., Senior Notes
3.600%
7/1/30
70,000
69,242
Royal Caribbean Cruises Ltd., Senior Notes
5.625%
9/30/31
190,000
195,900
(a)
Royal Caribbean Cruises Ltd., Senior Notes
6.000%
2/1/33
110,000
113,976
(a)
See Notes to Schedule of Investments.

2
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Hotels, Restaurants & Leisure — continued
Royal Caribbean Cruises Ltd., Senior Notes
4.750%
5/15/33
 $130,000
 $130,938
Total Hotels, Restaurants & Leisure
867,530
Specialty Retail — 0.1%
Lowe’s Cos. Inc., Senior Notes
1.700%
9/15/28
150,000
142,212
Textiles, Apparel & Luxury Goods — 0.0%††
NIKE Inc., Senior Notes
2.850%
3/27/30
10,000
9,621
 
Total Consumer Discretionary
2,257,787
Consumer Staples — 1.0%
Beverages — 0.1%
Anheuser-Busch InBev Worldwide Inc., Senior Notes
3.500%
6/1/30
230,000
226,741
Consumer Staples Distribution & Retail — 0.0%††
Kroger Co., Senior Notes
5.000%
9/15/34
70,000
71,198
Food Products — 0.2%
Mars Inc., Senior Notes
3.200%
4/1/30
100,000
97,233
(a)
Mars Inc., Senior Notes
5.000%
3/1/32
210,000
217,586
(a)
Total Food Products
314,819
Personal Care Products — 0.1%
Kenvue Inc., Senior Notes
5.050%
3/22/28
90,000
92,185
Tobacco — 0.6%
Altria Group Inc., Senior Notes
6.200%
11/1/28
300,000
316,737
Altria Group Inc., Senior Notes
4.800%
2/14/29
59,000
60,294
Altria Group Inc., Senior Notes
2.450%
2/4/32
50,000
44,885
BAT Capital Corp., Senior Notes
3.557%
8/15/27
3,000
2,986
BAT Capital Corp., Senior Notes
5.350%
8/15/32
60,000
63,016
BAT Capital Corp., Senior Notes
6.000%
2/20/34
150,000
162,912
BAT Capital Corp., Senior Notes
5.625%
8/15/35
20,000
21,099
Philip Morris International Inc., Senior Notes
4.875%
2/13/29
80,000
82,249
Philip Morris International Inc., Senior Notes
2.100%
5/1/30
10,000
9,260
Philip Morris International Inc., Senior Notes
5.125%
2/13/31
100,000
104,356
Philip Morris International Inc., Senior Notes
5.250%
2/13/34
100,000
104,779
Total Tobacco
972,573
 
Total Consumer Staples
1,677,516
Energy — 3.5%
Oil, Gas & Consumable Fuels — 3.5%
BP Capital Markets America Inc., Senior Notes
3.633%
4/6/30
130,000
128,691
Cameron LNG LLC, Senior Secured Notes
2.902%
7/15/31
30,000
28,169
(a)
Cheniere Energy Partners LP, Senior Notes
5.550%
10/30/35
150,000
155,729
Columbia Pipelines Operating Co. LLC, Senior Notes
6.036%
11/15/33
50,000
54,190
(a)
Continental Resources Inc., Senior Notes
4.375%
1/15/28
40,000
40,093
Continental Resources Inc., Senior Notes
5.750%
1/15/31
30,000
31,125
(a)
Coterra Energy Inc., Senior Notes
3.900%
5/15/27
510,000
509,630
Coterra Energy Inc., Senior Notes
4.375%
3/15/29
160,000
161,812
Devon Energy Corp., Senior Notes
5.200%
9/15/34
100,000
102,587
Energy Transfer LP, Senior Notes
5.550%
2/15/28
380,000
391,284
Energy Transfer LP, Senior Notes
3.750%
5/15/30
180,000
177,122
Enterprise Products Operating LLC, Senior Notes
4.150%
10/16/28
200,000
201,896
See Notes to Schedule of Investments.

3
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Oil, Gas & Consumable Fuels — continued
Enterprise Products Operating LLC, Senior Notes
3.125%
7/31/29
 $220,000
 $214,961
Enterprise Products Operating LLC, Senior Notes
6.650%
10/15/34
10,000
11,401
EQT Corp., Senior Notes
7.000%
2/1/30
180,000
197,184
Expand Energy Corp., Senior Notes
4.750%
2/1/32
20,000
19,974
Florida Gas Transmission Co. LLC, Senior Notes
5.750%
7/15/35
170,000
179,380
(a)
Gulfstream Natural Gas System LLC, Senior Notes
5.600%
7/23/35
270,000
281,371
(a)
KazMunayGas National Co. JSC, Senior Notes
5.750%
4/19/47
450,000
434,022
(a)
MPLX LP, Senior Notes
4.800%
2/15/29
180,000
183,526
Occidental Petroleum Corp., Senior Notes
3.000%
2/15/27
100,000
99,216
Occidental Petroleum Corp., Senior Notes
6.450%
9/15/36
110,000
119,885
ONEOK Inc., Senior Notes
5.550%
11/1/26
240,000
242,183
ONEOK Inc., Senior Notes
5.650%
11/1/28
90,000
93,668
ONEOK Inc., Senior Notes
5.800%
11/1/30
40,000
42,440
Petrobras Global Finance BV, Senior Notes
6.850%
6/5/2115
190,000
183,303
Petroleos del Peru SA, Senior Notes
4.750%
6/19/32
320,000
234,330
(a)
Pioneer Natural Resources Co., Senior Notes
1.900%
8/15/30
130,000
119,268
Pioneer Natural Resources Co., Senior Notes
2.150%
1/15/31
140,000
128,909
Reliance Industries Ltd., Senior Notes
3.625%
1/12/52
270,000
202,972
(a)
Targa Resources Corp., Senior Notes
5.400%
7/30/36
70,000
71,320
Tennessee Gas Pipeline Co. LLC, Senior Notes
2.900%
3/1/30
20,000
19,128
(a)
Viper Energy Partners LLC, Senior Notes
4.900%
8/1/30
70,000
71,456
Viper Energy Partners LLC, Senior Notes
5.700%
8/1/35
30,000
31,139
Western Midstream Operating LP, Senior Notes
4.750%
8/15/28
10,000
10,157
Western Midstream Operating LP, Senior Notes
6.350%
1/15/29
480,000
507,312
Williams Cos. Inc., Senior Notes
3.750%
6/15/27
130,000
129,775
Williams Cos. Inc., Senior Notes
2.600%
3/15/31
120,000
111,077
 
Total Energy
5,921,685
Financials — 10.4%
Banks — 6.7%
Banco Santander SA, Senior Notes
4.551%
11/6/30
400,000
403,286
Banco Santander SA, Senior Notes (4.175% to 3/24/27 then 1 year
Treasury Constant Maturity Rate + 2.000%)
4.175%
3/24/28
200,000
200,099
(b)
Bank of America Corp., Senior Notes (2.572% to 10/20/31 then SOFR +
1.210%)
2.572%
10/20/32
320,000
291,652
(b)
Bank of America Corp., Senior Notes (2.972% to 2/4/32 then SOFR +
1.330%)
2.972%
2/4/33
160,000
147,948
(b)
Bank of America Corp., Senior Notes (3.419% to 12/20/27 then 3 mo.
Term SOFR + 1.302%)
3.419%
12/20/28
382,000
378,184
(b)
Bank of America Corp., Senior Notes (3.593% to 7/21/27 then 3 mo. Term
SOFR + 1.632%)
3.593%
7/21/28
370,000
367,930
(b)
Bank of America Corp., Senior Notes (3.970% to 3/5/28 then 3 mo. Term
SOFR + 1.332%)
3.970%
3/5/29
380,000
379,763
(b)
Bank of America Corp., Senior Notes (3.974% to 2/7/29 then 3 mo. Term
SOFR + 1.472%)
3.974%
2/7/30
660,000
659,504
(b)
Bank of America Corp., Senior Notes (4.376% to 4/27/27 then SOFR +
1.580%)
4.376%
4/27/28
170,000
170,805
(b)
See Notes to Schedule of Investments.

4
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Bank of America Corp., Senior Notes (4.456% to 2/6/31 then SOFR +
0.870%)
4.456%
2/6/32
 $170,000
 $171,310
(b)
Bank of America Corp., Subordinated Notes
4.250%
10/22/26
160,000
160,262
BNP Paribas SA, Senior Notes (5.125% to 1/13/28 then 1 year Treasury
Constant Maturity Rate + 1.450%)
5.125%
1/13/29
200,000
204,189
(a)(b)
BNP Paribas SA, Senior Notes (5.198% to 1/10/29 then 3 mo. Term SOFR
+ 2.829%)
5.198%
1/10/30
370,000
380,526
(a)(b)
BNP Paribas SA, Senior Notes (5.894% to 12/5/33 then SOFR + 1.866%)
5.894%
12/5/34
490,000
525,897
(a)(b)
CaixaBank SA, Senior Notes (4.885% to 7/3/30 then SOFR + 1.360%)
4.885%
7/3/31
200,000
204,181
(a)(b)
Citigroup Inc., Senior Notes (3.785% to 3/17/32 then SOFR + 1.939%)
3.785%
3/17/33
220,000
211,756
(b)
Citigroup Inc., Senior Notes (3.980% to 3/20/29 then 3 mo. Term SOFR +
1.600%)
3.980%
3/20/30
550,000
548,210
(b)
Citigroup Inc., Senior Notes (4.075% to 4/23/28 then 3 mo. Term SOFR +
1.454%)
4.075%
4/23/29
470,000
470,745
(b)
Citigroup Inc., Senior Notes (4.412% to 3/31/30 then SOFR + 3.914%)
4.412%
3/31/31
220,000
221,188
(b)
Citigroup Inc., Senior Notes (4.658% to 5/24/27 then SOFR + 1.887%)
4.658%
5/24/28
230,000
231,728
(b)
Citigroup Inc., Subordinated Notes
4.450%
9/29/27
350,000
352,214
Cooperatieve Rabobank UA, Senior Notes (3.649% to 4/6/27 then 1 year
Treasury Constant Maturity Rate + 1.220%)
3.649%
4/6/28
510,000
508,551
(a)(b)
Credit Agricole SA, Senior Notes (4.818% to 9/25/32 then SOFR +
1.360%)
4.818%
9/25/33
250,000
251,996
(a)(b)
Danske Bank A/S, Senior Notes (4.298% to 4/1/27 then 1 year Treasury
Constant Maturity Rate + 1.750%)
4.298%
4/1/28
220,000
220,846
(a)(b)
HSBC Holdings PLC, Senior Notes (2.848% to 6/4/30 then SOFR +
2.387%)
2.848%
6/4/31
310,000
292,804
(b)
JPMorgan Chase & Co., Senior Notes (4.005% to 4/23/28 then 3 mo.
Term SOFR + 1.382%)
4.005%
4/23/29
340,000
340,016
(b)
JPMorgan Chase & Co., Senior Notes (4.452% to 12/5/28 then 3 mo.
Term SOFR + 1.592%)
4.452%
12/5/29
380,000
384,092
(b)
JPMorgan Chase & Co., Senior Notes (5.294% to 7/22/34 then SOFR +
1.460%)
5.294%
7/22/35
370,000
384,348
(b)
JPMorgan Chase & Co., Subordinated Notes (5.576% to 7/23/35 then
SOFR + 1.635%)
5.576%
7/23/36
250,000
260,094
(b)
Royal Bank of Canada, Senior Notes
3.875%
5/4/32
70,000
68,902
Toronto-Dominion Bank, Senior Notes
4.456%
6/8/32
170,000
171,634
Truist Financial Corp., Senior Notes (6.047% to 6/8/26 then SOFR +
2.050%)
6.047%
6/8/27
130,000
130,654
(b)
US Bancorp, Senior Notes (2.215% to 1/27/27 then SOFR + 0.730%)
2.215%
1/27/28
100,000
98,521
(b)
US Bancorp, Senior Notes (5.775% to 6/12/28 then SOFR + 2.020%)
5.775%
6/12/29
190,000
197,620
(b)
Wells Fargo & Co., Senior Notes
3.000%
10/23/26
310,000
308,188
Wells Fargo & Co., Senior Notes (3.350% to 3/2/32 then SOFR + 1.500%)
3.350%
3/2/33
140,000
131,504
(b)
Wells Fargo & Co., Senior Notes (4.478% to 4/4/30 then 3 mo. Term SOFR
+ 4.032%)
4.478%
4/4/31
80,000
80,847
(b)
Wells Fargo & Co., Senior Notes (4.960% to 1/23/36 then SOFR +
1.100%)
4.960%
1/23/37
150,000
150,629
(b)
Wells Fargo & Co., Senior Notes (5.557% to 7/25/33 then SOFR +
1.990%)
5.557%
7/25/34
130,000
136,837
(b)
See Notes to Schedule of Investments.

5
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Banks — continued
Wells Fargo & Co., Senior Notes (5.574% to 7/25/28 then SOFR +
1.740%)
5.574%
7/25/29
 $230,000
 $237,974
(b)
Wells Fargo & Co., Subordinated Notes
4.300%
7/22/27
210,000
210,810
Total Banks
11,248,244
Capital Markets — 2.6%
Bank of New York Mellon Corp., Senior Notes (4.289% to 6/13/32 then
SOFR + 1.418%)
4.289%
6/13/33
290,000
287,870
(b)
Charles Schwab Corp., Senior Notes
5.875%
8/24/26
150,000
151,210
Charles Schwab Corp., Senior Notes (6.136% to 8/24/33 then SOFR +
2.010%)
6.136%
8/24/34
170,000
185,854
(b)
Goldman Sachs Group Inc., Senior Notes
3.500%
11/16/26
240,000
239,544
Goldman Sachs Group Inc., Senior Notes (3.814% to 4/23/28 then 3 mo.
Term SOFR + 1.420%)
3.814%
4/23/29
190,000
188,920
(b)
Goldman Sachs Group Inc., Senior Notes (4.387% to 6/15/26 then SOFR +
1.510%)
4.387%
6/15/27
230,000
230,216
(b)
Goldman Sachs Group Inc., Senior Notes (4.516% to 1/21/31 then SOFR +
0.960%)
4.516%
1/21/32
860,000
865,498
(b)
Intercontinental Exchange Inc., Senior Notes
4.600%
3/15/33
150,000
152,131
Morgan Stanley, Senior Notes (2.699% to 1/22/30 then SOFR + 1.143%)
2.699%
1/22/31
200,000
189,278
(b)
Morgan Stanley, Senior Notes (3.772% to 1/24/28 then 3 mo. Term SOFR
+ 1.402%)
3.772%
1/24/29
210,000
209,247
(b)
Morgan Stanley, Senior Notes (4.493% to 1/16/31 then SOFR + 0.950%)
4.493%
1/16/32
100,000
100,602
(b)
Morgan Stanley, Senior Notes (5.320% to 7/19/34 then SOFR + 1.555%)
5.320%
7/19/35
200,000
207,160
(b)
Morgan Stanley, Senior Notes (5.466% to 1/18/34 then SOFR + 1.730%)
5.466%
1/18/35
630,000
659,705
(b)
Nuveen LLC, Senior Notes
4.000%
11/1/28
180,000
180,430
(a)
UBS Group AG, Senior Notes (4.588% to 8/10/31 then SOFR + 1.050%)
4.588%
8/10/32
440,000
441,919
(a)(b)
Total Capital Markets
4,289,584
Consumer Finance — 0.2%
American Express Co., Senior Notes
4.050%
5/3/29
100,000
100,875
Midcap Financial Issuer Trust, Senior Notes
5.370%
4/15/29
260,000
259,355
(a)
Total Consumer Finance
360,230
Financial Services — 0.6%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
5.000%
11/15/35
200,000
199,819
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
2.450%
10/29/26
360,000
356,573
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Senior Notes
3.000%
10/29/28
400,000
389,262
Total Financial Services
945,654
Insurance — 0.3%
Aon North America Inc., Senior Notes
5.150%
3/1/29
220,000
226,925
Chubb INA Holdings LLC, Senior Notes
3.350%
5/3/26
10,000
9,989
MetLife Capital Trust IV, Junior Subordinated Notes
7.875%
12/15/37
190,000
212,081
(a)
Teachers Insurance & Annuity Association of America, Subordinated
Notes
6.850%
12/16/39
32,000
37,367
(a)
Total Insurance
486,362
 
Total Financials
17,330,074
Health Care — 2.5%
Biotechnology — 0.5%
AbbVie Inc., Senior Notes
2.950%
11/21/26
130,000
129,201
See Notes to Schedule of Investments.

6
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Biotechnology — continued
AbbVie Inc., Senior Notes
4.800%
3/15/29
 $330,000
 $339,105
AbbVie Inc., Senior Notes
3.200%
11/21/29
470,000
459,166
Total Biotechnology
927,472
Health Care Equipment & Supplies — 0.6%
Abbott Laboratories, Senior Notes
4.000%
3/15/31
70,000
69,961
(c)
Abbott Laboratories, Senior Notes
4.300%
3/15/33
370,000
369,743
(c)
Abbott Laboratories, Senior Notes
4.650%
3/15/36
90,000
90,063
(c)
Solventum Corp., Senior Notes
5.400%
3/1/29
51,000
52,895
Solventum Corp., Senior Notes
5.450%
3/13/31
110,000
115,410
Solventum Corp., Senior Notes
5.600%
3/23/34
280,000
292,868
Total Health Care Equipment & Supplies
990,940
Health Care Providers & Services — 1.0%
Cigna Group, Senior Notes
4.375%
10/15/28
130,000
131,377
CVS Health Corp., Senior Notes
3.625%
4/1/27
270,000
269,274
CVS Health Corp., Senior Notes
4.300%
3/25/28
131,000
131,832
CVS Health Corp., Senior Notes
3.750%
4/1/30
130,000
128,001
CVS Health Corp., Senior Notes
1.875%
2/28/31
100,000
89,181
CVS Health Corp., Senior Notes
2.125%
9/15/31
150,000
133,136
Elevance Health Inc., Senior Notes
4.100%
5/15/32
160,000
157,166
Humana Inc., Senior Notes
5.750%
12/1/28
10,000
10,366
Humana Inc., Senior Notes
3.700%
3/23/29
260,000
255,785
Humana Inc., Senior Notes
2.150%
2/3/32
100,000
87,323
UnitedHealth Group Inc., Senior Notes
4.000%
5/15/29
230,000
230,859
UnitedHealth Group Inc., Senior Notes
2.300%
5/15/31
70,000
63,939
Total Health Care Providers & Services
1,688,239
Pharmaceuticals — 0.4%
Bristol-Myers Squibb Co., Senior Notes
5.100%
2/22/31
110,000
115,078
Bristol-Myers Squibb Co., Senior Notes
5.200%
2/22/34
10,000
10,470
Eli Lilly & Co., Senior Notes
4.700%
2/9/34
290,000
296,805
Merck & Co. Inc., Senior Notes
1.450%
6/24/30
100,000
90,610
Pfizer Inc., Senior Notes
1.700%
5/28/30
150,000
137,490
Total Pharmaceuticals
650,453
 
Total Health Care
4,257,104
Industrials — 2.1%
Aerospace & Defense — 0.8%
Boeing Co., Senior Notes
5.150%
5/1/30
120,000
124,311
Boeing Co., Senior Notes
6.528%
5/1/34
120,000
134,583
Howmet Aerospace Inc., Senior Notes
4.550%
11/15/32
140,000
142,731
Huntington Ingalls Industries Inc., Senior Notes
5.749%
1/15/35
70,000
74,908
Lockheed Martin Corp., Senior Notes
4.500%
2/15/29
390,000
397,880
Lockheed Martin Corp., Senior Notes
3.900%
6/15/32
280,000
278,295
RTX Corp., Senior Notes
2.250%
7/1/30
10,000
9,322
RTX Corp., Senior Notes
6.000%
3/15/31
160,000
173,691
Total Aerospace & Defense
1,335,721
Building Products — 0.1%
Carrier Global Corp., Senior Notes
2.722%
2/15/30
100,000
95,065
See Notes to Schedule of Investments.

7
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Building Products — continued
Carrier Global Corp., Senior Notes
2.700%
2/15/31
 $60,000
 $56,246
Total Building Products
151,311
Commercial Services & Supplies — 0.2%
Waste Connections Inc., Senior Notes
5.000%
3/1/34
280,000
289,576
Electrical Equipment — 0.1%
GE Vernova Inc., Senior Notes
4.250%
2/4/31
80,000
80,581
GE Vernova Inc., Senior Notes
4.875%
2/4/36
60,000
60,783
Total Electrical Equipment
141,364
Ground Transportation — 0.2%
Fedex Freight Holding Co. Inc., Senior Notes
4.300%
3/15/29
80,000
80,196
(a)
Fedex Freight Holding Co. Inc., Senior Notes
4.650%
3/15/31
90,000
90,528
(a)
Fedex Freight Holding Co. Inc., Senior Notes
4.950%
3/15/33
70,000
70,023
(a)
Fedex Freight Holding Co. Inc., Senior Notes
5.250%
3/15/36
30,000
29,919
(a)
Union Pacific Corp., Senior Notes
2.891%
4/6/36
190,000
163,576
Total Ground Transportation
434,242
Industrial Conglomerates — 0.1%
Honeywell International Inc., Senior Notes
4.950%
9/1/31
220,000
229,986
Passenger Airlines — 0.5%
American Airlines Pass-Through Trust
3.375%
5/1/27
445,641
440,908
United Airlines Inc., Senior Secured Notes
4.625%
4/15/29
400,000
399,964
(a)
Total Passenger Airlines
840,872
Trading Companies & Distributors — 0.1%
Air Lease Corp., Senior Notes
5.300%
2/1/28
160,000
163,390
 
Total Industrials
3,586,462
Information Technology — 3.3%
Semiconductors & Semiconductor Equipment — 2.5%
Broadcom Inc., Senior Notes
4.600%
7/15/30
80,000
81,814
Broadcom Inc., Senior Notes
4.600%
1/15/33
210,000
212,335
Broadcom Inc., Senior Notes
3.137%
11/15/35
370,000
323,643
(a)
Broadcom Inc., Senior Notes
4.800%
2/15/36
120,000
120,342
Foundry JV Holdco LLC, Senior Secured Notes
5.900%
1/25/30
710,000
749,666
(a)
Intel Corp., Senior Notes
3.750%
3/25/27
130,000
129,823
Intel Corp., Senior Notes
1.600%
8/12/28
130,000
123,024
Intel Corp., Senior Notes
5.125%
2/10/30
80,000
82,598
Micron Technology Inc., Senior Notes
5.650%
11/1/32
100,000
106,619
Micron Technology Inc., Senior Notes
5.875%
2/9/33
110,000
118,503
QUALCOMM Inc., Senior Notes
5.000%
5/20/35
50,000
51,318
Texas Instruments Inc., Senior Notes
1.750%
5/4/30
10,000
9,195
TSMC Arizona Corp., Senior Notes
1.750%
10/25/26
1,160,000
1,145,167
TSMC Arizona Corp., Senior Notes
2.500%
10/25/31
940,000
870,929
Total Semiconductors & Semiconductor Equipment
4,124,976
Software — 0.7%
Oracle Corp., Senior Notes
4.550%
2/4/29
250,000
250,531
Oracle Corp., Senior Notes
4.650%
5/6/30
120,000
119,813
Oracle Corp., Senior Notes
4.950%
2/4/31
100,000
99,824
Oracle Corp., Senior Notes
2.875%
3/25/31
90,000
81,835
See Notes to Schedule of Investments.

8
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Software — continued
Oracle Corp., Senior Notes
4.800%
9/26/32
 $250,000
 $244,379
Synopsys Inc., Senior Notes
4.650%
4/1/28
160,000
162,067
Synopsys Inc., Senior Notes
4.850%
4/1/30
230,000
235,561
Total Software
1,194,010
Technology Hardware, Storage & Peripherals — 0.1%
Hewlett Packard Enterprise Co., Senior Notes
4.400%
10/15/30
230,000
230,384
 
Total Information Technology
5,549,370
Materials — 1.0%
Chemicals — 0.2%
MEGlobal BV, Senior Notes
2.625%
4/28/28
400,000
385,376
(a)
Construction Materials — 0.0%††
Amrize Finance US LLC, Senior Notes
5.400%
4/7/35
60,000
62,767
Metals & Mining — 0.5%
Corp. Nacional del Cobre de Chile, Senior Notes
5.529%
1/30/37
240,000
246,060
(a)
Freeport-McMoRan Inc., Senior Notes
5.400%
11/14/34
10,000
10,468
Glencore Funding LLC, Senior Notes
5.371%
4/4/29
360,000
373,257
(a)
Glencore Funding LLC, Senior Notes
5.186%
4/1/30
230,000
238,068
(a)
Total Metals & Mining
867,853
Paper & Forest Products — 0.3%
Georgia-Pacific LLC, Senior Notes
4.400%
6/30/28
140,000
141,741
(a)
Suzano Austria GmbH, Senior Notes
3.125%
1/15/32
200,000
181,344
Suzano Netherlands BV, Senior Notes
5.500%
1/15/36
100,000
101,113
Total Paper & Forest Products
424,198
 
Total Materials
1,740,194
Real Estate — 0.1%
Retail REITs — 0.1%
WEA Finance LLC, Senior Notes
4.125%
9/20/28
200,000
199,286
(a)
 
Utilities — 1.7%
Electric Utilities — 1.6%
American Transmission Systems Inc., Senior Notes
2.650%
1/15/32
140,000
128,150
(a)
Comision Federal de Electricidad, Senior Notes
6.045%
1/28/34
440,000
445,500
(a)
Constellation Energy Generation LLC, Senior Notes
3.900%
1/8/28
70,000
70,055
Constellation Energy Generation LLC, Senior Notes
4.400%
1/15/31
30,000
30,211
FirstEnergy Corp., Senior Notes
3.900%
7/15/27
220,000
220,990
Georgia Power Co., Senior Notes
5.200%
3/15/35
40,000
41,568
MidAmerican Energy Co., First Mortgage Bonds
3.650%
4/15/29
10,000
9,960
NRG Energy Inc., Senior Secured Notes
5.407%
10/15/35
110,000
111,236
(a)
Oncor Electric Delivery Co. LLC, Senior Secured Notes
5.350%
4/1/35
70,000
73,045
(a)
Pacific Gas and Electric Co., First Mortgage Bonds
2.100%
8/1/27
310,000
302,258
Pacific Gas and Electric Co., First Mortgage Bonds
5.550%
5/15/29
350,000
363,945
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara, Senior
Notes
5.450%
5/21/28
380,000
388,584
(a)
RWE Finance US LLC, Senior Notes
5.125%
9/18/35
290,000
290,847
(a)
Vistra Operations Co. LLC, Senior Secured Notes
5.350%
1/31/36
150,000
151,113
(a)
Total Electric Utilities
2,627,462
See Notes to Schedule of Investments.

9
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
Multi-Utilities — 0.1%
Northern States Power Co., First Mortgage Bonds
5.050%
5/15/35
 $130,000
 $133,602
 
Total Utilities
2,761,064
Total Corporate Bonds & Notes (Cost — $49,591,126)
49,718,056
Collateralized Mortgage Obligations(d) — 11.5%
Angel Oak Mortgage Trust, 2025-6 A3
5.920%
4/25/70
311,712
315,308
(a)
Arbor Realty Commercial Real Estate Notes LLC, 2025-FL1 A (1 mo. Term
SOFR + 1.354%)
5.021%
1/20/43
110,000
110,078
(a)(b)
AREIT LLC, 2022-CRE7 A (1 mo. Term SOFR + 2.242%)
5.906%
6/17/39
343,753
343,787
(a)(b)
BRAVO Residential Funding Trust, 2021-NQM2 A1
0.970%
3/25/60
27,615
27,201
(a)(b)
BRAVO Residential Funding Trust, 2022-NQM3 A1
5.108%
7/25/62
240,352
240,437
(a)(b)
BX Commercial Mortgage Trust, 2024-BIO2 D
7.713%
8/13/41
110,000
108,111
(a)(b)
BX Commercial Mortgage Trust, 2025-COPT A (1 mo. Term SOFR +
1.750%)
5.410%
8/15/42
490,000
491,820
(a)(b)
BXMT Ltd., 2026-FL6 A (1 mo. Term SOFR + 1.450%)
5.150%
8/19/43
310,000
310,484
(a)(b)
CSMC Trust, 2019-AFC1 A1
3.573%
7/25/49
226,959
221,428
(a)
CSMC Trust, 2020-AFC1 A1
3.240%
2/25/50
362,366
351,338
(a)(b)
CSMC Trust, 2021-AFC1 A3
1.169%
3/25/56
213,380
185,605
(a)(b)
CSMC Trust, 2021-NQM2 A3
1.538%
2/25/66
159,188
145,695
(a)(b)
DBJPM Mortgage Trust, 2016-C1 B
4.195%
5/10/49
360,000
340,927
(b)
Deephaven Residential Mortgage Trust, 2022-1 A1
2.205%
1/25/67
579,983
550,713
(a)(b)
Ellington Financial Mortgage Trust, 2021-2 A1
0.931%
6/25/66
750,367
650,576
(a)(b)
Ellington Financial Mortgage Trust, 2022-1 A1
2.206%
1/25/67
336,752
306,080
(a)(b)
Extended Stay America Trust, 2025-ESH A (1 mo. Term SOFR + 1.300%)
4.960%
10/15/42
190,000
190,488
(a)(b)
Federal Home Loan Mortgage Corp. (FHLMC) Multifamily Structured
Pass-Through Certificates, K091 X1, IO
0.558%
3/25/29
2,380,913
37,796
(b)
Federal Home Loan Mortgage Corp. (FHLMC) Multifamily Structured
Pass-Through Certificates, K093 X1, IO
0.938%
5/25/29
1,819,770
46,100
(b)
Federal Home Loan Mortgage Corp. (FHLMC) Multifamily Structured
Pass-Through Certificates, K104 XAM, IO
1.379%
1/25/30
3,100,000
150,266
(b)
Federal Home Loan Mortgage Corp. (FHLMC) Multifamily Structured
Pass-Through Certificates, KG06 X1, IO
0.532%
10/25/31
6,478,275
159,036
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 4066 PI, IO
3.500%
9/15/31
56,570
246
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 4991 QV
2.000%
9/25/45
176,019
154,708
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5010 IK, IO
2.500%
9/25/50
1,187,813
179,785
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5010 JI, IO
2.500%
9/25/50
481,618
81,039
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5013 IN, IO
2.500%
9/25/50
137,352
23,296
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5018 MI, IO
2.000%
10/25/50
142,932
19,366
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5092 AP, PAC
2.000%
4/25/41
252,150
226,691
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5224 HL, PAC
4.000%
4/25/52
100,000
95,881
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, 5482 FC (30 Day
Average SOFR + 1.300%)
4.967%
12/25/54
83,275
84,026
(b)
Federal Home Loan Mortgage Corp. (FHLMC) REMIC, Structured Agency
Credit Risk Trust, 2021-DNA5 B1 (30 Day Average SOFR + 3.050%)
6.717%
1/25/34
320,000
341,515
(a)(b)
Federal Home Loan Mortgage Corp. (FHLMC) Structured Agency Credit
Risk Debt Notes, 2026-DNA1 M2 (30 Day Average SOFR + 1.300%)
4.958%
2/25/46
330,000
331,831
(a)(b)
Federal National Mortgage Association (FNMA) ACES, 2019-M4 A2
3.610%
2/25/31
216,529
214,451
Federal National Mortgage Association (FNMA) ACES, 2023-M4 A2
3.767%
9/25/32
200,000
197,767
(b)
See Notes to Schedule of Investments.

10
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(d) — continued
Federal National Mortgage Association (FNMA) REMIC, 2013-73 IA, IO
3.000%
9/25/32
 $167,269
 $4,777
Federal National Mortgage Association (FNMA) REMIC, 2015-65 CZ
3.500%
9/25/45
288,670
261,228
Federal National Mortgage Association (FNMA) REMIC, 2018-74 AB
3.500%
10/25/48
233,497
223,186
Federal National Mortgage Association (FNMA) REMIC, 2020-56 AQ
2.000%
8/25/50
688,637
571,692
Federal National Mortgage Association (FNMA) REMIC, 2020-56 DI, IO
2.500%
8/25/50
460,887
77,754
Federal National Mortgage Association (FNMA) REMIC, 2020-57 TA
2.000%
4/25/50
605,589
545,583
Federal National Mortgage Association (FNMA) REMIC, 2020-62 BI, IO
2.000%
9/25/50
2,799,427
324,448
Federal National Mortgage Association (FNMA) REMIC, 2020-89 DI, IO
2.500%
12/25/50
686,760
109,940
Federal National Mortgage Association (FNMA) REMIC, 2021-43 IO, IO
2.500%
6/25/51
1,357,295
209,140
Federal National Mortgage Association (FNMA) REMIC, 2021-65 JA
2.000%
1/25/46
175,429
160,341
Federal National Mortgage Association (FNMA) REMIC, 2022-57 BC
4.000%
9/25/52
130,643
127,113
Federal National Mortgage Association (FNMA) STRIPS, 409 C18, IO
4.000%
4/25/42
11,539
2,051
Federal National Mortgage Association (FNMA) STRIPS, 440 C50, IO
4.500%
10/25/53
842,289
177,169
Government National Mortgage Association (GNMA), 2010-H26 LF (1 mo.
Term SOFR + 0.464%)
4.147%
8/20/58
8,117
8,107
(b)
Government National Mortgage Association (GNMA), 2011-H01 AF (1 mo.
Term SOFR + 0.564%)
4.247%
11/20/60
95,298
95,279
(b)
Government National Mortgage Association (GNMA), 2011-H07 FA (1 mo.
Term SOFR + 0.614%)
4.297%
2/20/61
19,343
19,355
(b)
Government National Mortgage Association (GNMA), 2011-H09 AF (1 mo.
Term SOFR + 0.614%)
4.297%
3/20/61
16,412
16,421
(b)
Government National Mortgage Association (GNMA), 2012-H30 GA (1
mo. Term SOFR + 0.464%)
4.147%
12/20/62
50,128
49,752
(b)
Government National Mortgage Association (GNMA), 2013-95 IO, IO
0.307%
4/16/47
2,693,082
15,933
(b)
Government National Mortgage Association (GNMA), 2014-105 IO, IO
0.144%
6/16/54
63,127
22
(b)
Government National Mortgage Association (GNMA), 2014-130 IB, IO
0.174%
8/16/54
1,021,323
3,393
(b)
Government National Mortgage Association (GNMA), 2014-157 IO, IO
0.180%
5/16/55
727,597
4,150
(b)
Government National Mortgage Association (GNMA), 2014-186 IO, IO
0.365%
8/16/54
560,150
3,964
(b)
Government National Mortgage Association (GNMA), 2019-18 TP, PAC
3.500%
2/20/49
156,730
145,236
Government National Mortgage Association (GNMA), 2021-8 AQ
5.000%
1/20/51
124,526
126,274
Government National Mortgage Association (GNMA), 2021-134 CI, IO
1.428%
6/16/61
3,466,026
315,961
(b)
Government National Mortgage Association (GNMA), 2021-188 PA, PAC
2.000%
10/20/51
554,881
467,484
Government National Mortgage Association (GNMA), 2021-223 P, PAC-1
2.000%
6/20/51
70,051
62,419
Government National Mortgage Association (GNMA), 2022-99 JW
2.500%
1/20/52
200,000
174,447
Government National Mortgage Association (GNMA), 2023-92 AH
2.000%
6/16/64
1,474,350
1,151,207
Government National Mortgage Association (GNMA), 2023-92 IA, IO
0.611%
6/16/64
1,965,800
102,259
(b)
Government National Mortgage Association (GNMA), 2023-179 IO, IO
0.611%
9/16/63
7,887,155
350,379
(b)
Greystone CRE Notes LLC, 2025-FL4 A (1 mo. Term SOFR + 1.481%)
5.141%
1/15/43
250,000
250,879
(a)(b)
MF1 LLC, 2025-FL19 A (1 mo. Term SOFR + 1.488%)
5.152%
5/18/42
200,000
200,870
(a)(b)
MF1 LLC, 2026-FL21 A (1 mo. Term SOFR + 1.350%)
5.014%
2/18/41
170,000
170,109
(a)(b)
Mill City Mortgage Loan Trust, 2019-1 A1
3.250%
10/25/69
351,308
345,519
(a)(b)
Morgan Stanley Capital I Trust, 2021-L6 C
3.438%
6/15/54
250,000
215,723
(b)
New Residential Mortgage Loan Trust, 2015-1A A2
3.750%
5/28/52
202,821
198,382
(a)(b)
New Residential Mortgage Loan Trust, 2017-4A A1
4.000%
5/25/57
369,966
364,269
(a)(b)
New Residential Mortgage Loan Trust, 2021-NQM3 A3
1.516%
11/27/56
198,316
183,486
(a)(b)
OBX Trust, 2021-NQM2 A1
1.101%
5/25/61
252,352
212,917
(a)(b)
See Notes to Schedule of Investments.

11
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Collateralized Mortgage Obligations(d) — continued
OBX Trust, 2021-NQM3 A1
1.054%
7/25/61
 $359,681
 $308,404
(a)(b)
PRKCM Trust, 2021-AFC1 A1
1.510%
8/25/56
775,749
681,240
(a)(b)
PRKCM Trust, 2021-AFC2 A1
2.071%
11/25/56
348,439
315,779
(a)(b)
PRKCM Trust, 2024-HOME1 A1
6.431%
5/25/59
575,862
584,298
(a)
SACO I Trust, 2007-VA1 A
6/25/21
225
131
*(a)(b)(e)
SWCH Commercial Mortgage Trust, 2025-DATA A (1 mo. Term SOFR +
1.443%)
5.103%
2/15/42
460,000
456,652
(a)(b)
Towd Point Mortgage Trust, 2017-4 B2
3.646%
6/25/57
1,010,000
886,663
(a)(b)
Verus Securitization Trust, 2025-R2 A2
5.238%
7/25/67
116,483
117,710
(a)
WaMu Mortgage Pass-Through Certificates Trust, 2004-AR9 A7
5.182%
8/25/34
491,160
470,153
(b)
WaMu Mortgage Pass-Through Certificates Trust, 2004-AR13 A2A (1 mo.
Term SOFR + 0.854%)
4.528%
11/25/34
154,893
153,166
(b)
 
Total Collateralized Mortgage Obligations (Cost — $19,791,275)
19,256,690
Asset-Backed Securities — 9.5%
Abry Liquid Credit CLO Ltd., 2025-2A A1 (3 mo. Term SOFR + 1.310%)
4.995%
1/15/38
270,000
270,720
(a)(b)
American Heritage Auto Receivables Issuer Trust, 2025-1A A3
4.400%
11/15/30
360,000
362,854
(a)
Amur Equipment Finance Receivables LLC, 2025-1A A2
4.700%
9/22/31
109,817
111,070
(a)
Antares CLO Ltd., 2018-1A A1R (3 mo. Term SOFR + 1.370%)
5.038%
4/20/38
310,000
310,296
(a)(b)
Apex Credit CLO LLC, 2021-2A A1AR (3 mo. Term SOFR + 1.180%)
4.848%
10/20/34
440,000
440,643
(a)(b)
Apidos Loan Fund Ltd., 2024-1A A1R (3 mo. Term SOFR + 1.250%)
4.918%
10/25/38
580,000
581,161
(a)(b)
Aqua Finance Trust, 2021-A B
2.400%
7/17/46
526,039
496,644
(a)
Ares CLO Ltd., 2017-44A A1RR (3 mo. Term SOFR + 1.130%)
4.802%
4/15/34
290,000
290,376
(a)(b)
AutoNation Finance Trust, 2026-1A D
5.070%
1/11/34
100,000
101,310
(a)
Avis Budget Rental Car Funding AESOP LLC, 2023-1A CN
8.700%
4/20/29
400,000
412,211
(a)
Balboa Bay Loan Funding Ltd., 2025-2A A1 (3 mo. Term SOFR + 1.250%)
4.981%
1/20/39
240,000
240,121
(a)(b)
Barings CLO Ltd., 2024-1A A (3 mo. Term SOFR + 1.630%)
5.298%
1/20/37
370,000
371,337
(a)(b)
Basswood Park CLO Ltd., 2021-1A AR (3 mo. Term SOFR + 1.030%)
4.698%
4/20/34
400,000
400,462
(a)(b)
BlueMountain CLO Ltd., 2020-30A AR2 (3 mo. Term SOFR + 1.150%)
4.822%
4/15/35
340,000
340,751
(a)(b)
CarVal CLO Ltd., 2024-3A A1 (3 mo. Term SOFR + 1.390%)
5.058%
10/20/37
1,000,000
1,002,690
(a)(b)
CIFC Funding Ltd., 2024-2A A1 (3 mo. Term SOFR + 1.520%)
5.189%
4/22/37
750,000
752,525
(a)(b)
College Ave Student Loans LLC, 2021-C C
3.060%
7/26/55
731,426
694,868
(a)
Columbia Cent CLO Ltd., 2022-32A A1R2 (3 mo. Term SOFR + 1.120%)
4.788%
7/24/34
550,000
550,753
(a)(b)
Driven Brands Funding LLC, 2025-1A A2
5.296%
10/20/55
399,000
403,337
(a)
Elevation CLO Ltd., 2025-18A A1 (3 mo. Term SOFR + 1.240%)
4.908%
3/28/38
270,000
270,405
(a)(b)
Ford Credit Floorplan Master Owner Trust, 2025-1 A1
4.630%
4/15/30
370,000
376,980
Fortress Credit Bsl Ltd., 2021-1A AR (3 mo. Term SOFR + 1.100%)
4.768%
4/20/33
270,252
270,542
(a)(b)
Galaxy CLO Ltd., 2024-33A A1 (3 mo. Term SOFR + 1.550%)
5.218%
4/20/37
780,000
782,609
(a)(b)
Galaxy CLO Ltd., 2025-36A A1 (3 mo. Term SOFR + 1.230%)
5.008%
10/15/38
330,000
330,429
(a)(b)
GGAM Master Trust International Ltd., 2025-1A A
5.923%
9/30/60
273,249
280,207
(a)
HINNT LLC, 2025-A A
5.010%
3/15/44
109,139
111,293
(a)
Kings Park CLO Ltd., 2021-1A A1R (3 mo. Term SOFR + 1.200%)
4.870%
1/21/39
300,000
300,598
(a)(b)
Mosaic Solar Loan Trust, 2018-2GS A
4.200%
2/22/44
760,286
720,319
(a)
Navient Private Education Refi Loan Trust, 2024-A A
5.660%
10/15/72
163,421
168,619
(a)
Navient Refinance Loan Trust, 2026-A A
4.500%
1/18/56
370,000
372,179
(a)
Navient Student Loan Trust, 2020-1A A1B (30 Day Average SOFR +
1.164%)
4.832%
6/25/69
137,149
138,468
(a)(b)
See Notes to Schedule of Investments.

12
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
Asset-Backed Securities — continued
Navigator Aviation Ltd., 2025-1 A
5.107%
10/15/50
 $244,983
 $248,157
(a)
Nelnet Student Loan Trust, 2025-1A A1 (30 Day Average SOFR + 0.750%)
4.417%
10/25/33
378,958
379,069
(a)(b)
Obra CLO Ltd., 2025-2A A1 (3 mo. Term SOFR + 1.540%)
5.208%
7/20/38
440,000
442,152
(a)(b)
Park Blue CLO Ltd., 2025-8A A1 (3 mo. Term SOFR + 1.310%)
5.255%
10/25/38
360,000
360,856
(a)(b)
Phantom Aviation, 2026-1A A
5.240%
1/15/51
170,000
173,418
(a)
Polus US CLO Ltd., 2025-2A A1 (3 mo. Term SOFR + 1.520%)
5.188%
7/20/38
480,000
482,345
(a)(b)
SMB Private Education Loan Trust, 2024-A A1A
5.240%
3/15/56
528,627
547,637
(a)
Sotheby’s Artfi Master Trust, 2026-1A A1
4.800%
6/20/33
310,000
312,181
(a)
Sycamore Tree CLO Ltd., 2025-6A A1 (3 mo. Term SOFR + 1.200%)
4.868%
4/20/38
280,000
280,399
(a)(b)
Vantage Data Centers Issuer LLC, 2024-1A A2
5.100%
9/15/54
100,000
100,545
(a)
Warwick Capital CLO Ltd., 2025-7A A1 (3 mo. Term SOFR + 1.300%)
5.252%
10/21/38
300,000
300,738
(a)(b)
 
Total Asset-Backed Securities (Cost — $15,899,125)
15,884,274
Sovereign Bonds — 2.1%
Chile — 0.2%
 
Chile Government International Bond, Senior Notes
3.100%
5/7/41
430,000
340,990
Israel — 0.2%
 
Israel Government International Bond, Senior Notes
5.500%
3/12/34
300,000
312,134
Mexico — 0.5%
Mexico Government International Bond, Senior Notes
2.659%
5/24/31
325,000
292,191
Mexico Government International Bond, Senior Notes
4.400%
2/12/52
680,000
506,974
Total Mexico
799,165
Peru — 0.2%
Peruvian Government International Bond, Senior Notes
5.500%
3/30/36
280,000
289,464
Peruvian Government International Bond, Senior Notes
5.625%
11/18/50
110,000
109,340
Total Peru
398,804
Supranational — 0.8%
 
Asian Development Bank, Senior Notes
1.500%
1/20/27
1,280,000
1,257,062
Uruguay — 0.2%
Uruguay Government International Bond, Senior Notes
7.625%
3/21/36
270,000
328,955
 
Total Sovereign Bonds (Cost — $3,716,393)
3,437,110
Mortgage-Backed Securities — 1.7%
FHLMC — 0.4%
Federal Home Loan Mortgage Corp. (FHLMC)
2.000%
12/1/41
303,436
269,048
Federal Home Loan Mortgage Corp. (FHLMC)
3.000%
9/1/42
378,509
360,395
Total FHLMC
629,443
FNMA — 0.9%
Federal National Mortgage Association (FNMA)
2.500%
11/1/40
47,163
43,557
Federal National Mortgage Association (FNMA)
2.000%
10/1/41
348,766
309,775
Federal National Mortgage Association (FNMA)
1.500%
2/1/42
85,610
74,436
Federal National Mortgage Association (FNMA)
3.000%
6/1/43-
11/1/48
249,836
234,624
Federal National Mortgage Association (FNMA)
4.500%
9/1/53
79,472
79,805
Federal National Mortgage Association (FNMA)
4.000%
2/1/56-
6/1/57
120,700
117,775
Federal National Mortgage Association (FNMA)
3.500%
3/1/57
434,174
407,369
See Notes to Schedule of Investments.

13
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
(Percentages shown based on Fund net assets)
Security
 
Rate
Maturity
Date
Face
Amount
Value
 
FNMA — continued
Federal National Mortgage Association (FNMA) (1 year FTSE USD IBOR
Consumer Cash Fallbacks + 1.453%)
6.384%
5/1/43
 $217,469
 $225,732
(b)
Total FNMA
1,493,073
GNMA — 0.4%
Government National Mortgage Association (GNMA)
4.000%
3/15/50
25,130
24,377
Government National Mortgage Association (GNMA) II
3.500%
10/20/49-
2/20/50
79,270
74,494
Government National Mortgage Association (GNMA) II
4.000%
1/20/50-
3/20/50
108,207
104,655
Government National Mortgage Association (GNMA) II
4.500%
9/20/52
71,369
70,889
Government National Mortgage Association (GNMA) II
5.000%
5/20/53
228,428
231,217
Government National Mortgage Association (GNMA) II
2.500%
3/1/56
100,000
88,262
(f)
Government National Mortgage Association (GNMA) II
3.000%
3/1/56
100,000
91,739
(f)
Total GNMA
685,633
 
Total Mortgage-Backed Securities (Cost — $2,840,147)
2,808,149
U.S. Treasury Inflation Protected Securities — 0.7%
U.S. Treasury Notes, Inflation Indexed (Cost — $1,118,167)
1.875%
7/15/34
1,094,694
1,125,892
 
 
Expiration
Date
Contracts
Notional
Amount
 
Purchased Options — 0.1%
Exchange-Traded Purchased Options — 0.0%††
3-Month SOFR Futures, Call @ $96.750
6/12/26
79
 $197,500
10,862
U.S. Treasury 5-Year Notes Futures, Call @ $109.750
3/6/26
30
30,000
13,828
U.S. Treasury 6 to 7-Year Notes Futures, Call @ $113.750
3/13/26
25
25,000
11,719
 
Total Exchange-Traded Purchased Options (Cost — $87,347)
36,409
 
Counterparty
 
 
 
 
OTC Purchased Options — 0.1%
Interest rate swaption, Call, Daily SOFR Compound
paid annually, 290.000bps payments received
annually, maturing on 9/29/28
Goldman Sachs
Group Inc.
9/25/26
20,970,000
20,970,000
74,253
Interest rate swaption, Call, Daily SOFR Compound
paid annually, 290.000bps payments received
annually, maturing on 9/29/28
Goldman Sachs
Group Inc.
9/25/26
1,110,000
1,110,000
3,930
 
Total OTC Purchased Options (Cost — $90,116)
78,183
 
Total Purchased Options (Cost — $177,463)
114,592
Total Investments before Short-Term Investments (Cost — $158,207,942)
158,468,004
 
 
Rate
Shares
 
Short-Term Investments — 3.8%
Western Asset Premier Institutional Government Reserves, Premium
Shares (Cost — $6,320,076)
3.603%
6,320,076
6,320,076
(g)(h)
Total Investments — 98.6% (Cost — $164,528,018)
164,788,080
Other Assets in Excess of Liabilities — 1.4%
2,423,796
Total Net Assets — 100.0%
$167,211,876
See Notes to Schedule of Investments.

14
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
††
Represents less than 0.1%.
*
Non-income producing security.
(a)
Security is exempt from registration under Rule 144A of the Securities Act of 1933. This security may be resold in transactions that are exempt from
registration, normally to qualified institutional buyers. This security has been deemed liquid pursuant to guidelines approved by the Board of Directors.
(b)
Variable rate security. Interest rate disclosed is as of the most recent information available. Certain variable rate securities are not based on a published
reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a
reference rate and spread in their description above.
(c)
Securities traded on a when-issued or delayed delivery basis.
(d)
Collateralized mortgage obligations are secured by an underlying pool of mortgages or mortgage pass-through certificates that are structured to direct
payments on underlying collateral to different series or classes of the obligations. The interest rate may change positively or inversely in relation to one or
more interest rates, financial indices or other financial indicators and may be subject to an upper and/or lower limit.
(e)
The maturity principal is currently in default as of February 28, 2026.
(f)
This security is traded on a to-be-announced (“TBA”) basis. At February 28, 2026, the Fund held TBA securities with a total cost of $177,063.
(g)
Rate shown is one-day yield as of the end of the reporting period.
(h)
In this instance, as defined in the Investment Company Act of 1940, an Affiliated Company represents Fund ownership of at least 5% of the outstanding
voting securities of an issuer, or a company which is under common ownership or control with the Fund. At February 28, 2026, the total market value of
investments in Affiliated Companies was $6,320,076 and the cost was $6,320,076 (Note 2).
Abbreviation(s) used in this schedule:
ACES
Alternative Credit Enhancement Securities
bps
basis points (100 basis points = 1.00%)
CLO
Collateralized Loan Obligation
DAC
Designated Activity Company
IBOR
Interbank Offered Rate
IO
Interest Only
JSC
Joint Stock Company
PAC
Planned Amortization Class
REMIC
Real Estate Mortgage Investment Conduit
SOFR
Secured Overnight Financing Rate
STRIPS
Separate Trading of Registered Interest and Principal Securities
USD
United States Dollar
At February 28, 2026, the Fund had the following open written options contracts:
Exchange-Traded Written Options
Security
 
Expiration
Date
Strike
Price
Contracts
Notional
Amount
Value
3-Month SOFR Futures, Call
9/11/26
 $97.500
29
 $72,500
 $(4,713)
3-Month SOFR Futures, Call
12/11/26
97.500
18
45,000
(5,625)
3-Month SOFR Futures, Put
12/11/26
96.500
43
107,500
(5,912)
U.S. Treasury 10-Year Notes Futures, Call
3/27/26
115.000
50
50,000
(11,719)
Total Exchange-Traded Written Options (Premiums received — $43,025)
(27,969)
OTC Written Options
 
Counterparty
 
 
 
 
 
Interest rate swaption, Call, 345.000bps
payments paid annually, Daily SOFR
Compound received annually, maturing on
9/29/36
(Premiums received — $82,935)
Goldman Sachs Group Inc.
9/25/26
345.000
bps
4,890,000
4,890,000
 $(70,459
)
Total Written Options (Premiums received — $125,960)
$(98,428
)
See Notes to Schedule of Investments.

15
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Schedule of Investments (unaudited) (cont’d)
February 28, 2026
 Western Asset Intermediate Bond Fund
Abbreviation(s) used in this schedule:
bps
basis points (100 basis points = 1.00%)
SOFR
Secured Overnight Financing Rate
At February 28, 2026, the Fund had the following open futures contracts:
 
 
 
Number of
Contracts
 
Expiration
Date
 
Notional
Amount
 
Market
Value
 
Unrealized
Appreciation
(Depreciation)
Contracts to Buy:
3-Month SOFR
73
6/26
 $17,613,228
 $17,585,244
 $(27,984)
U.S. Treasury 2-Year Notes
139
6/26
29,043,533
29,089,008
45,475
U.S. Treasury 5-Year Notes
265
6/26
29,062,211
29,187,267
125,056
U.S. Treasury 10-Year Notes
13
6/26
1,462,516
1,479,562
17,046
 
159,593
Contracts to Sell:
U.S. Treasury Long-Term Bonds
48
6/26
5,646,124
5,686,500
(40,376)
U.S. Treasury Ultra 10-Year Notes
13
6/26
1,502,484
1,517,547
(15,063)
U.S. Treasury Ultra Long-Term Bonds
26
6/26
3,112,236
3,161,438
(49,202)
 
(104,641)
Net unrealized appreciation on open futures contracts
$54,952
Abbreviation(s) used in this table:
SOFR
Secured Overnight Financing Rate
At February 28, 2026, the Fund had the following open swap contracts:
 
CENTRALLY CLEARED INTEREST RATE SWAPS
 
Notional
Amount
Termination
Date
Payments
Made by
the Fund
Payments
Received by
the Fund
Market
Value
Upfront
Premiums
Paid
(Received)
Unrealized
Depreciation
 
 $29,154,000
12/15/27
3.320%
annually
Daily SOFR
Compound
annually
 $(48,109)
 $(2,347)
 $(45,762)
 
7,730,000
11/21/30
2.452%*
CPURNSA*
(39,189)
(3,772)
(35,417)
 
7,426,000
8/31/32
3.420%
annually
Daily SOFR
Compound
annually
(43,460)
17,099
(60,559)
Total
$44,310,000
$(130,758)
$10,980
$(141,738)
 
CENTRALLY CLEARED CREDIT DEFAULT SWAPS ON CREDIT INDICES — SELL PROTECTION1
Reference Entity
Notional
Amount2
Termination
Date
Periodic
Payments
Received by
the Fund
Market
Value3
Upfront
Premiums
Paid
(Received)
Unrealized
Depreciation
Markit CDX.NA.IG.45 Index
 $20,238,000
12/20/30
1.000% quarterly
$393,669
$431,915
$(38,246)
See Notes to Schedule of Investments.

16
Western Asset Intermediate Bond Fund 2026 Quarterly Report

 Western Asset Intermediate Bond Fund
1
If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to
the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities
comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the
recovery value of the referenced obligation or underlying securities comprising the referenced index.
2
The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event
occurs as defined under the terms of that particular swap agreement.
3
The quoted market prices and resulting values for credit default swap agreements on asset-backed securities and credit indices serve as an indicator of the
current status of the payment/performance risk and represent the likelihood of an expected loss (or profit) for the credit derivative had the notional amount
of the swap agreement been closed/sold as of the period end. Decreasing market values (sell protection) or increasing market values (buy protection), when
compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of
default or other credit event occurring as defined under the terms of the agreement.
Percentage shown is an annual percentage rate.
*
One time payment made at termination date.
Reference rate(s) and their value(s) as of period end used in this table:
Reference Index
Reference
Rate
CPURNSA
3.267%
Daily SOFR Compound
3.680%
Abbreviation(s) used in this table:
CPURNSA
U.S. CPI Urban Consumers NSA Index
SOFR
Secured Overnight Financing Rate
This Schedule of Investments is unaudited and is intended to provide information about the Fund’s investments as of the date of the schedule. Other information regarding the Fund is available in the Fund’s most recent annual or semi-annual shareholder report.
See Notes to Schedule of Investments.

17
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Notes to Schedule of Investments (unaudited)
1. Organization and significant accounting policies
Western Asset Intermediate Bond Fund (the “Fund”) is a separate diversified investment series of Western Asset Funds, Inc. (the “Corporation”). The Corporation, a Maryland corporation, is registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as an open-end management investment company.
The Fund follows the accounting and reporting guidance in Financial Accounting Standards Board (FASB) Accounting Standards Codification Topic 946, Financial Services Investment Companies (ASC 946). The following are significant accounting policies consistently followed by the Fund and are in conformity with U.S. generally accepted accounting principles (“GAAP”), including, but not limited to, ASC 946.
(a) Investment valuation.The valuations for fixed income securities (which may include, but are not limited to, corporate, government, municipal, mortgage-backed, collateralized mortgage obligations and asset-backed securities) and certain derivative instruments are typically the prices supplied by independent third party pricing services, which may use market prices or broker/dealer quotations or a variety of valuation techniques and methodologies. The independent third party pricing services typically use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar securities. Investments in open-end funds are valued at the closing net asset value per share of each fund on the day of valuation. Futures contracts are valued daily at the settlement price established by the board of trade or exchange on which they are traded. Equity securities for which market quotations are available are valued at the last reported sales price or official closing price on the primary market or exchange on which they trade. When the Fund holds securities or other assets that are denominated in a foreign currency, the Fund will normally use the currency exchange rates as of 4:00 p.m. (Eastern Time). If independent third party pricing services are unable to supply prices for a portfolio investment, or if the prices supplied are deemed by the manager to be unreliable, the market price may be determined by the manager using quotations from one or more broker/dealers or at the transaction price if the security has recently been purchased and no value has yet been obtained from a pricing service or pricing broker. When reliable prices are not readily available, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded, but before the Fund calculates its net asset value, the Fund values these securities as determined in accordance with procedures approved by the Fund’s Board of Directors (the Board).  
Pursuant to policies adopted by the Board, the Fund’s manager has been designated as the valuation designee and is responsible for the oversight of the daily valuation process. The Fund’s manager is assisted by the Global Fund Valuation Committee (the Valuation Committee). The Valuation Committee is responsible for making fair value determinations, evaluating the effectiveness of the Fund’s pricing policies, and reporting to the Fund’s manager and the Board. When determining the reliability of third party pricing information for investments owned by the Fund, the Valuation Committee, among other things, conducts due diligence reviews of pricing vendors, monitors the daily change in prices and reviews transactions among market participants.
The Valuation Committee will consider pricing methodologies it deems relevant and appropriate when making fair value determinations. Examples of possible methodologies include, but are not limited to, multiple of earnings; discount from market of a similar freely traded security; discounted cash-flow analysis; book value or a multiple thereof; risk premium/yield analysis; yield to maturity; and/or fundamental investment analysis. The Valuation Committee will also consider factors it deems relevant and appropriate in light of the facts and circumstances. Examples of possible factors include, but are not limited to, the type of security; the issuer’s financial statements; the purchase price of the security; the discount from market value of unrestricted securities of the same class at the time of purchase; analysts’ research and observations from financial institutions; information regarding any transactions or offers with respect to the security; the existence of merger proposals or tender offers affecting the security; the price and extent of public trading in similar securities of the issuer or comparable companies; and the existence of a shelf registration for restricted securities.
For each portfolio security that has been fair valued pursuant to the policies adopted by the Board, the fair value price is compared against the last available and next available market quotations. The Valuation Committee reviews the results of such back testing monthly and fair valuation occurrences are reported to the Board quarterly.
The Fund uses valuation techniques to measure fair value that are consistent with the market approach and/or income approach, depending on the type of security and the particular circumstance. The market approach uses prices and other relevant information generated by market transactions involving identical or comparable securities. The income approach uses valuation techniques to discount estimated future cash flows to present value.

18
Western Asset Intermediate Bond Fund 2026 Quarterly Report

GAAP establishes a disclosure hierarchy that categorizes the inputs to valuation techniques used to value assets and liabilities at measurement date. These inputs are summarized in the three broad levels listed below:
Level 1 — unadjusted quoted prices in active markets for identical investments
Level 2 — other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 — significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.
The following is a summary of the inputs used in valuing the Fund’s assets and liabilities carried at fair value:
ASSETS
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Long-Term Investments†:
U.S. Government & Agency Obligations
 $66,123,241
 $66,123,241
Corporate Bonds & Notes
49,718,056
49,718,056
Collateralized Mortgage Obligations
19,256,690
19,256,690
Asset-Backed Securities
15,884,274
15,884,274
Sovereign Bonds
3,437,110
3,437,110
Mortgage-Backed Securities
2,808,149
2,808,149
U.S. Treasury Inflation Protected Securities
1,125,892
1,125,892
Purchased Options:
Exchange-Traded Purchased Options
 $36,409
36,409
OTC Purchased Options
78,183
78,183
Total Long-Term Investments
36,409
158,431,595
158,468,004
Short-Term Investments†
6,320,076
6,320,076
Total Investments
$6,356,485
$158,431,595
$164,788,080
Other Financial Instruments:
Futures Contracts††
 $187,577
 $187,577
Total
$6,544,062
$158,431,595
$164,975,657
LIABILITIES
Description
Quoted Prices
(Level 1)
Other Significant
Observable Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Total
Other Financial Instruments:
Written Options:
Exchange-Traded Written Options
 $27,969
 $27,969
OTC Written Options
 $70,459
70,459
Futures Contracts††
132,625
132,625
Centrally Cleared Interest Rate Swaps††
141,738
141,738
Centrally Cleared Credit Default Swaps on Credit Indices — Sell
Protection††
38,246
38,246
Total
$160,594
$250,443
$411,037
See Schedule of Investments for additional detailed categorizations.
††
Reflects the unrealized appreciation (depreciation) of the instruments.
2. Transactions with affiliated company
As defined by the 1940 Act, an affiliated company is one in which the Fund owns 5% or more of the outstanding voting securities, or a company which is under common ownership or control with the Fund. The following company was considered an affiliated company for all or some portion of the period ended February 28, 2026. The following transactions were

19
Western Asset Intermediate Bond Fund 2026 Quarterly Report

Notes to Schedule of Investments (unaudited) (cont’d)
effected in such company for the period ended February 28, 2026.
 
Affiliate
Value at

May 31,
2025
Purchased
Sold
Cost
Shares
Proceeds
Shares
Western Asset Premier
Institutional Government
Reserves, Premium
Shares
 $17,152,718
 $69,914,285
69,914,285
 $80,746,927
80,746,927

(cont’d)
Realized
Gain (Loss)
Dividend
Income
Net Increase
(Decrease) in
Unrealized
Appreciation
(Depreciation)
Affiliate
Value at
February 28,
2026
Western Asset Premier
Institutional Government
Reserves, Premium Shares
 $570,425
 $6,320,076

20
Western Asset Intermediate Bond Fund 2026 Quarterly Report