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WADXX

Western Asset Premier Institutional US Treasury Reserves

As of 12/10/2025

NAV 1

$1.0000

$0.0000 (0.00%)
As of 12/09/2025

Fund Level Market NAV

$1.0000

 
As of 12/09/2025

Liquid Asset (Daily) 23

99.83%

 
As of 12/09/2025

Liquid Asset (Weekly) 23

99.83%

 

Overview

Western Asset logo

Fund Description

  • Seeks to provide liquidity and as high a level of current income from U.S. government obligations as is consistent with preservation of capital. 
  • Typically invests all of its assets in direct obligations of the U.S. Treasury.
  • The portfolio is diversified among a wide array of U.S. Treasury securities, including U.S. Treasury bills, notes and bonds. 
Fund Information
Asset Class 
Money Funds
Fund Inception Date 
10/30/2019
Share Class Inception Date 
10/30/2019
Investment Style 
Money Market
Lipper Classification 
Instl U.S. Treasury Money Market Funds
Morningstar Category4 
Money Market-Taxable
S&P Rating5  As of 11/30/2025
AAAm
Fitch Rating5 
N/A
Shareholder Net Flow6  As of 12/09/2025
$0.00 Million
Moody’s Rating5 
N/A
Dividends & Yields
Dividend Frequency, if any 
Daily
7-Day Current Yield78  As of 12/09/2025 (Updated Daily)
3.80%
7-Day Current Yield—Without Waiver8  As of 12/09/2025 (Updated Daily)
3.55%
7-Day Effective Yield78  As of 12/09/2025 (Updated Daily)
3.87%
7-Day Effective Yield—Without Waiver8  As of 12/09/2025 (Updated Daily)
3.61%
Sales Charges, Expenses & Fees
As of 01/01/2025
Gross Expense Ratio9 
0.29%
Net Expense Ratio910 
0.12%
Maximum Initial Charge 
N/A
CDSC 
N/A
Identifiers
Ticker 
WADXX
Fund Number 
5299
CUSIP Code 
52470G486

Performance

Portfolio

Portfolio Holdings

Holdings

As of 11/30/2025 Updated Monthly
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
5.63
Market Value ($) 
947,033,597
Quantity 
950,000,000
Security Name 
UNITED STATES TREASURY FLOATING RATE NOTE
Weight (%) 
4.75
Market Value ($) 
799,058,071
Quantity 
799,000,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
4.56
Market Value ($) 
767,215,732
Quantity 
771,870,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
4.16
Market Value ($) 
698,861,184
Quantity 
700,000,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
4.04
Market Value ($) 
679,693,326
Quantity 
682,000,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
3.79
Market Value ($) 
637,094,471
Quantity 
637,300,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
3.60
Market Value ($) 
604,476,984
Quantity 
605,000,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
3.56
Market Value ($) 
598,614,708
Quantity 
598,680,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
3.38
Market Value ($) 
567,450,731
Quantity 
568,500,000
Security Name 
UNITED STATES TREASURY BILL
Weight (%) 
3.38
Market Value ($) 
567,731,919
Quantity 
568,350,000

Distributions & Tax

Distributions

Distribution Schedules

Dividend Frequency, if any  This fund is an Accrual fund.
Daily
Capital Gain Distributions 
December

Rates and Yields

Read important information about results and other investment disclosures
7-Day Current Yield
As of 12/10/2025
w/ Waiver 
3.80%
w/o Waiver 
3.54%
7-Day Effective Yield
As of 12/10/2025
w/ Waiver 
3.87%
w/o Waiver 
3.60%

Distributions Per Share

Current Year Distributions Per Share
Distributions with future dates are estimates and those figures are not final
Record Date  
12/15/2025
Ex-Dividend Date  
12/16/2025
Reinvestment Date  
12/16/2025
Payable Date  
12/16/2025
Reinvestment Price  
Long-Term Capital Gains  
$0.0000-$0.0000 Estimates
Short-Term Capital Gains  
$0.0000-$0.0000 Estimates
Income  
Total Distribution Per Share  
Estimates
Record Date  
11/28/2025
Ex-Dividend Date  
11/28/2025
Reinvestment Date  
11/28/2025
Payable Date  
11/28/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00318446
Total Distribution Per Share  
$0.00318446
Record Date  
10/31/2025
Ex-Dividend Date  
10/31/2025
Reinvestment Date  
10/31/2025
Payable Date  
10/31/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00337145
Total Distribution Per Share  
$0.00337145
Record Date  
09/30/2025
Ex-Dividend Date  
09/30/2025
Reinvestment Date  
09/30/2025
Payable Date  
09/30/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00336782
Total Distribution Per Share  
$0.00336782
Record Date  
08/29/2025
Ex-Dividend Date  
08/29/2025
Reinvestment Date  
08/29/2025
Payable Date  
08/29/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00357106
Total Distribution Per Share  
$0.00357106
Record Date  
07/31/2025
Ex-Dividend Date  
07/31/2025
Reinvestment Date  
07/31/2025
Payable Date  
07/31/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00358018
Total Distribution Per Share  
$0.00358018
Record Date  
06/30/2025
Ex-Dividend Date  
06/30/2025
Reinvestment Date  
06/30/2025
Payable Date  
06/30/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00346037
Total Distribution Per Share  
$0.00346037
Record Date  
05/30/2025
Ex-Dividend Date  
05/30/2025
Reinvestment Date  
05/30/2025
Payable Date  
05/30/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00358266
Total Distribution Per Share  
$0.00358266
Record Date  
04/30/2025
Ex-Dividend Date  
04/30/2025
Reinvestment Date  
04/30/2025
Payable Date  
04/30/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00346339
Total Distribution Per Share  
$0.00346339
Record Date  
03/31/2025
Ex-Dividend Date  
03/31/2025
Reinvestment Date  
03/31/2025
Payable Date  
03/31/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00358872
Total Distribution Per Share  
$0.00358872
Record Date  
02/28/2025
Ex-Dividend Date  
02/28/2025
Reinvestment Date  
02/28/2025
Payable Date  
02/28/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00326412
Total Distribution Per Share  
$0.00326412
Record Date  
01/31/2025
Ex-Dividend Date  
01/31/2025
Reinvestment Date  
01/31/2025
Payable Date  
01/31/2025
Reinvestment Price  
$1.00
Long-Term Capital Gains  
Short-Term Capital Gains  
Income  
$0.00366623
Total Distribution Per Share  
$0.00366623

Tax Information

Tax Information

Federal ID Number 84-2717999
For information on tax years prior to 2008, please contact us
These amounts represent distributions paid by the fund, foreign taxes passed through (if any), and other distribution characteristics for the calendar year selected. These amounts are reported to shareholders on Form 1099-DIV.
Distributions per Share ($)
Record Date  
Jan 31
Ordinary Dividends  
0.004476
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Feb 29
Ordinary Dividends  
0.004179
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Mar 28
Ordinary Dividends  
0.004456
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Apr 30
Ordinary Dividends  
0.004302
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
May 31
Ordinary Dividends  
0.004454
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Jun 28
Ordinary Dividends  
0.004308
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Jul 31
Ordinary Dividends  
0.004444
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Aug 30
Ordinary Dividends  
0.004419
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Sep 30
Ordinary Dividends  
0.004164
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Oct 31
Ordinary Dividends  
0.00409
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Nov 29
Ordinary Dividends  
0.00382
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Dec 31
Ordinary Dividends  
0.003795
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  
Record Date  
Ordinary Dividends  
0.050907
Qualified Dividends  
Capital Gain Distributions  
Unrecaptured Section 1250 Gain  
Non-Taxable Return Of Capital  
Section 199a Dividends  
Foreign Tax Paid  
Exempt Interest Dividends  
Interest on Tax Reclaim Refunds  

The fund's policy is to declare daily, and pay monthly, dividends from net investment income. Each day on which the fund declares a dividend distribution is ex date.

The per share distribution amounts presented above reflect the distribution rates that were paid to shareholders on the indicated dates. The character of distributions for certain funds may have been subsequently adjusted for tax purposes. Shareholders can determine which funds may have reclassified the tax character of distributions by visiting the Tax Center in Tools & Resources. Information on reclassifications for distributions paid during the current calendar year will not be available until the first quarter of the following year.

Supplemental Tax Information
Foreign Source Income 
Foreign Source Qualified Dividends 
Direct U.S. Government Obligations 
97.14%
Specified Private Activity Bond Interest 
Dividends Received Deduction 
Section 163(j) 
100.00%
Indiana Resident Taxable Income 
Utah Resident Taxable Income 

Franklin Templeton and its specialized investment managers and its employees are not in the business of providing tax or legal advice to taxpayers. These materials and any tax-related statements are not intended or written to be used, and cannot be used or relied upon, by any such taxpayer for the purpose of avoiding tax penalties or complying with any applicable tax laws or regulations. Tax-related statements, if any, may have been written in connection with the promotion or marketing of the transaction(s) or matter(s) addressed by these materials, to the extent allowed by applicable law. Each investor’s tax situation is different, and is based on an individual’s tax bracket, type of account used for investment and other factors. Any such taxpayer should seek advice based on the taxpayer's particular circumstances from an independent tax advisor.

Pricing

Pricing

Pricing History Chart

As of 12/10/2025 Updated Daily

Daily Fund Prices

As of 12/10/2025

Share Prices

As of 12/10/2025
NAV1 (Net Asset Value)
$1.0000
NAV Change1 
$0.0000
NAV Change (%)1 
0.00%
Fund Level Market NAV 
$1.0000
Master Fund Level Market NAV 
$1.0002
Liquid Asset (Daily)23 
99.83%
Liquid Asset (Weekly)23 
99.83%

52-Week Range

Highest NAV 
$1.0000
Lowest NAV 
$1.0000

Liquid Assets

6 Month Historical Daily and Weekly Liquid Assets 23
As of 12/09/2025

Chart

Line chart with 2 lines.
The chart has 1 X axis displaying Time. Data ranges from 2025-06-09 00:00:01 to 2025-12-09 00:00:01.
The chart has 1 Y axis displaying values. Data ranges from 98.98 to 99.94.
End of interactive chart.

6 Month Historical Shadow NAV

6 Month Historical Shadow NAV 12
As of 12/09/2025

Chart

Line chart with 126 data points.
The chart has 1 X axis displaying Time. Data ranges from 2025-06-09 00:00:01 to 2025-12-09 00:00:01.
The chart has 1 Y axis displaying values. Data ranges from 1 to 1.0002.
End of interactive chart.

Documents

Regulatory Documents

PDF Format

Summary Prospectus - Western Asset Premier Institutional US Treasury Reserves - Capital and Premium

PDF Format

Statement of Additional Information - Legg Mason Partners Money Market Trust Book 13

Mailed hardcopies unavailable.

PDF Format

Semi-Annual Report - Western Asset Premier Institutional US Treasury Reserves - Capital Shares

PDF Format

Prospectus - Western Asset Premier Institutional Government Reserves

PDF Format

Semi-Annual Financial Statements and Other Information - Western Asset Premier Institutional U.S. Treasury Reserves

PDF Format

Annual Report - Western Asset Premier Institutional US Treasury Reserves - Capital Shares

PDF Format

Annual Financial Statements and Other Information - Western Asset Premier Institutional US Treasury Reserves

Risks

What Are The Risks?

You could lose money by investing in the fund. Although the fund seeks to preserve the value of your investment at $1.00 per share, it cannot guarantee it will do so. An investment in the fund is not bank account and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The fund’s sponsor is not required to reimburse the fund for losses, and you should not expect that the sponsor will provide financial support to the fund at any time, including during periods of market stress. Although the fund invests in U.S. government obligations, an investment in the fund is neither insured nor guaranteed by the U.S. government.

All investments involve risk, including loss of principal. The fund's yield may be affected by changes in interest rates and changes in credit ratings. These and other risks are discussed in the fund’s prospectus.