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Fixed Income

WAADX Western Asset SMASh Series Core Completion Fund

NAV 1 $0.00(0.00%)
$6.19
As of 03/09/2026
Total Net Assets
$107.44M
As of 02/28/2026 (Updated Monthly)

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The SMASh Series is available only in a Separately Managed Account (SMA)
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Overview

Fund Facts

Benchmark
Bloomberg U.S. Aggregate Index
Fund Inception Date
08/14/2020

Sales Charges, Expenses & Fees

As of 07/01/2025
Gross Expense Ratio2
0.08%
Net Expense Ratio2,3
0.00%
Maximum Initial Charge
CDSC
N/A

Additional Fund Info

Share Class Inception Date
08/14/2020
Investment Style
Multi-Sector
Lipper Classification
Corporate Debt Funds BBB-Rated
Morningstar Category4
Miscellaneous Fixed Income

Identifiers

Ticker
WAADX
CUSIP Code
52470G460

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Manager and Commentary

About the Team

Western Asset

Western Asset Management is one of the world's leading global fixed income managers. Founded in 1971, the firm is known for team management and proprietary research, supported by robust risk management and a long-term fundamental value approach.

Western Asset logo
Portfolio Manager Profile
Years of Experience
Manager Location

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Portfolio

Portfolio Statistics

As of 02/28/2026 (Updated Monthly)

Cash Flow
Fund
4.08%

Holdings

As of 01/31/2026 (Updated Monthly)

Federal National Mortgage Association (FNMA) 3.​0000% Mat 02/01/2056
FNMA TBA FEB 30 SINGLE FAM 4.​5000% Mat 02/01/2056
MORGAN STANLEY CAPITAL I TRUST 4.​2760% Mat 07/11/2040
FNCL 3.​5% TBA 11-15/FEB/41
FNMA 30YR TBA 12/49 2.​0000% Mat 02/01/2056
FNMA 4% TBA MBS 30yr Mat 02/01/2055
GNMA 2.​5% TBA MBS 30yr Mat 02/20/2056
UNITED STATES TREASURY NOTE/BO 4.​0000% Mat 06/30/2032
GNMA 30YR TBA 12/49 2.​0000% Mat 02/20/2056
FANNIE MAE OR FREDDIE MAC 2.​5000% Mat 02/01/2056
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Distributions & Tax

Distribution Frequency
MonthlyThis fund is an ex-Dividend fund
Capital Gain Distributions
June, December

Final composition of the current year’s distribution—income, capital gains and/or return of capital—are based on US tax rules and will be determined by February of the following year. For tax characterization of a distribution, such as return of capital and tax-exempt income, click on the “Tax Information” tab above.

Distributions Per Share
Distributions with future dates are estimates and those figures are not final

02/12/2026
01/14/2026
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Pricing

Pricing History

As of 03/09/2026 (Updated Daily)

Chart

Line chart with 1421 data points.
The chart has 1 X axis displaying Time. Data ranges from 2020-08-17 00:00:00 to 2026-03-09 00:00:00.
The chart has 1 Y axis displaying [products.performance-value]. Data ranges from 5.66 to 10.1.
End of interactive chart.

Daily Fund Prices

As of 03/09/2026

Share Prices

As of 03/09/2026

NAV  1(Net Asset Value)
$6.19
POP  5(Public Offering Price)
$6.19

52-Week Range

Highest NAV
$6.25
Lowest NAV
$6.11

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Documents

Regulatory Documents
Name Download Add to Cart
Annual Report - Western Asset SMASh Series Core Completion Fund - Single ClassDownload Document
Annual Financial Statements and Other Information - Western Asset SMASh Series Core Completion FundDownload Document
Semi-Annual Report - Western Asset SMASh Series Core Completion Fund - Single ClassDownload Document
Semi-Annual Financial Statements and Other Information - Western Asset SMASh Series Core Completion FundDownload Document
Prospectus - Western Asset SMASh Series ProspectusDownload Document
Statement of Additional Information - Legg Mason Partners Institutional Trust Book 3Mailed hardcopies unavailable.Download Document
Fiscal Q1 Holdings - Western Asset SMASh Series Core Completion FundMailed hardcopies unavailable.Download Document
Fiscal Q3 Holdings - Western Asset SMASh Series Core Completion FundMailed hardcopies unavailable.Download Document

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Risks

All investments involve risks, including possible loss of principal. Fixed income securities involve interest rate, credit, inflation and reinvestment risks, and possible loss of principal. As interest rates rise, the value of fixed income securities falls. Derivative instruments can be illiquid, may disproportionately increase losses, and have a potentially large impact on performance. International investments are subject to special risks, including currency fluctuations and social, economic and political uncertainties, which could increase volatility. These risks are magnified in emerging markets. The portfolio is non-diversified and may invest in a relatively small number of issuers, which may negatively impact the performance and result in greater fluctuation in value. These and other risks are discussed in the fund’s prospectus.

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Total Returns include change in share price, assume reinvestment of all distributions, and reflect the deduction of fund expenses and applicable fees. Total returns, distribution rate, and yields reflect any applicable expense reductions and fee waivers; without these reductions, the results would have been lower.

Most funds offer multiple share classes. Share classes are subject to different fees and expenses, which will affect their performance.

Certain share classes are only offered to eligible investors as stated in the prospectus. Different minimums may apply to clients of certain service agents. All classes of shares are not available through all distribution channels. See the Fund's prospectus for additional information.

Franklin Distributors, LLC. Member FINRA, SIPCAll entities mentioned are Franklin Templeton affiliated companies. Investment Products: NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE.
Reports and other information about the funds are available on the EDGAR Database on the SEC's Internet site at www.sec.gov.

You need Adobe Acrobat Reader to view and print PDF documents. Download a free version from Adobe's website.

Important data provider notices and terms available at www.franklintempletondatasources.com.

Performance data quoted represents past performance, which does not guarantee future results. 

CFA® and Chartered Financial Analyst® are trademarks owned by CFA Institute.

Indexes are unmanaged and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges. 

Investors should carefully consider a fund's investment goals, risks, sales charges and expenses before investing. The prospectus contains this and other information. Please read the prospectus carefully before investing or sending money.

The Bloomberg U.S. Aggregate Index is comprised of investment-grade, U.S. dollar-denominated government, corporate, and mortgage- and asset-backed issues having at least one year to maturity.
Source: Bloomberg Indices.

Footnotes

  1. Net Asset Value - the amount per share you would receive if you sold shares that day. NAV Change indicates a change in the Net Asset Value from the previous business day.

  2. Gross Expense Ratio reflects the total annual operating expenses for the share class shown, prior to the deduction of any waiver or reimbursement. Actual expenses may be higher and may impact portfolio returns. Net Expense Ratio reflects total expenses after any fee waivers, implemented expense caps or reimbursements. If a fund has contractual fee waivers, expense caps and/or reimbursements, the expiration date can be found by clicking on the information button next to the net expense ratio. Additional amounts may be voluntarily waived and/or reimbursed and may be modified or discontinued at any time without notice. Expense ratios are as of the most recent prospectus or annual report.

  3. Net Expense Ratio represents the expense ratio applicable to investors. 

  4. ©2025 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

  5. Public Offering Price – the purchase price for each share of the fund on a given day.  It includes the maximum initial sales charge, if any.