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SHMMX

Western Asset Managed Municipals Fund

As of 01/13/2026

NAV 1

$14.96

$0.00 (0.00%)
 

POP 2

$15.54

 
 

YTD Total Return At NAV 3

0.53%

 
As of 12/31/2025

Morningstar Overall Rating™ 4

Muni National Long

Overview

Western Asset logo

Fund Description

  • Seeks to maximize current monthly income exempt from regular federal income taxes

  • Focuses on sector rotation and issuer selection, primarily within intermediate and long-term investment grade municipal securities

  • Uses Western Asset’s value-oriented investment process led by a deep and experienced team of municipal bond specialists

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Fund Information
Asset Class 
Fixed Income
Share Class Inception Date 
03/04/1981
Fund Inception Date 
03/04/1981
Benchmark 
Bloomberg Municipal Bond Index
Investment Style 
Municipals
Lipper Classification 
General & Insured Municipal Debt Funds
Morningstar Category5 
Muni National Long
Total Net Assets  As of 12/31/2025 (Updated Monthly)
$2.46 Billion
Portfolio Turnover 
16%
Dividends & Yields
Dividend Frequency, if any 
Monthly
Distribution Rate at NAV6  As of 01/13/2026 (Updated Daily)
3.51%
30-Day SEC Yield—With Waiver789  As of 12/31/2025 (Updated Monthly)
3.53%
30-Day SEC Yield—Without Waiver89  As of 12/31/2025 (Updated Monthly)
3.53%
Sales Charges, Expenses & Fees
As of 07/01/2025
Gross Expense Ratio10 
0.74%
Net Expense Ratio1011 
0.74%
Maximum Initial Charge 
3.75%
CDSC12 
1.00%
Identifiers
Fund Number 
7005
Ticker 
SHMMX
CUSIP Code 
52469J202

Performance

Portfolio

Portfolio Holdings

Holdings

As of 12/31/2025 Updated Monthly
Security Name 
PUERTO RICO CMWLTH AQUEDUCT & 5.0000% Mat 07/01/2047
Weight (%) 
1.46
Market Value ($) 
35,669,497
Quantity 
36,355,000
Security Name 
ILLINOIS ST 5.0000% Mat 11/01/2027
Weight (%) 
1.25
Market Value ($) 
30,429,038
Quantity 
29,275,000
Security Name 
CALIFORNIA COMMUNITY CHOICE FI 5.0000% Mat 01/01/2055
Weight (%) 
1.24
Market Value ($) 
30,242,781
Quantity 
29,000,000
Security Name 
CALIFORNIA COMMUNITY CHOICE FI 5.0000% Mat 02/01/2055
Weight (%) 
1.10
Market Value ($) 
26,838,115
Quantity 
25,000,000
Security Name 
NEW YORK CITY TRANSITIONAL FIN 5.0000% Mat 02/01/2047
Weight (%) 
0.97
Market Value ($) 
23,661,915
Quantity 
23,000,000
Security Name 
PENNSYLVANIA ECONOMIC DEVELOPM 5.2500% Mat 06/30/2053
Weight (%) 
0.93
Market Value ($) 
22,616,700
Quantity 
22,300,000
Security Name 
New York State Transportation Development Corp. Special Facilities Revenue 5.0000% Mat 07/01/2046
Weight (%) 
0.92
Market Value ($) 
22,379,163
Quantity 
22,380,000
Security Name 
M S R CA ENERGY AUTH GAS REVEN 7.0000% Mat 11/01/2034
Weight (%) 
0.88
Market Value ($) 
21,479,743
Quantity 
17,615,000
Security Name 
TRIBOROUGH BRIDGE & TUNNEL AUT 5.0000% Mat 11/15/2049
Weight (%) 
0.77
Market Value ($) 
18,817,275
Quantity 
18,325,000
Security Name 
MET GOVT NASHVILLE & DAVIDSON 4.0000% Mat 01/01/2043
Weight (%) 
0.74
Market Value ($) 
17,994,210
Quantity 
18,205,000

Portfolio holdings are based on the total portfolio and are subject to change at any time. Holdings are provided for informational purposes only and should not be construed as a recommendation to purchase or sell any security.

Distributions & Tax

Distributions

Rates and Yields

Read important information about results and other investment disclosures
Distribution Rate
As of 01/13/2026
At Net Asset Value (NAV) 
3.51%
30-Day SEC Yield
As of 12/31/2025
w/ Waiver 
3.53%
w/o Waiver 
3.53%
Taxable Equivalent Yield
As of 12/31/2025
w/ Waiver 
5.96%
w/o Waiver 
5.96%

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

Current Year Distributions Per Share
Distributions with future dates are estimates and those figures are not final
Record Date  
12/31/2025
Ex-Dividend Date  
12/31/2025
Reinvestment Date  
12/31/2025
Payable Date  
12/31/2025
Reinvestment Amount  
$14.90000
Long-Term Capital Gains  
$0.00000
Short-Term Capital Gains  
$0.00000
Income  
$0.04554
Total Distribution Per Share  
$0.04554

Annually, a fund must distribute all realized capital gains net of realized losses, so the fund will not be subject to an entity level income tax. A fund’s capital gain distribution in a particular year may be a result of the disposition of holdings that appreciated in value during prior years. Thus, while the fund may gain or lose value over the course of a year, a capital gain distribution paid by the fund may not be indicative of current performance of the fund.

The distributable amount of net capital gains are paid on a per-share basis to all investors who hold shares of the fund on the record date of the distribution and are recognized by the shareholder for tax purposes as of the ex-date of the distribution, regardless of when the gains or losses arose in the fund. Net gains on holdings held long term by the fund would be distributed to shareholders as a long-term capital gain distribution no matter how long the shareholder has owned shares in the fund.

Refer to the fund’s annual report or statement of additional information for specific information regarding distributions.

Tax Information

Tax Information

Federal ID Number 133059345
For information on tax years prior to 2008, please contact us

2025 tax information will be available in early February

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 ($)
2024 fund-specific tax information should be available by January 31, 2025.

Pricing

Pricing History Chart

As of 01/13/2026 Updated Daily

Daily Fund Prices

As of 01/13/2026

Share Prices

As of 01/13/2026
NAV1 (Net Asset Value)
$14.96
NAV Change1 
$0.00
NAV Change (%)1 
0.00%
POP2 (Public Offering Price)
$15.54

52-Week Range

Highest NAV 
$15.06
Lowest NAV 
$14.12

Documents

Product Literature

PDF Format

Factsheet - Western Asset Managed Municipals Fund

Regulatory Documents

PDF Format

Semi-Annual Report - Western Asset Managed Municipals Fund - Class A

PDF Format

Annual Report - Western Asset Managed Municipals Fund - Class A

PDF Format

Prospectus - Western Asset Managed Municipals Fund

PDF Format

Summary Prospectus - Western Asset Managed Municipals Fund

PDF Format

Statement of Additional Information - Legg Mason Partners Income Trust Book 2

Mailed hardcopies unavailable.

PDF Format

Fiscial Q1 Holdings - Western Asset Managed Municipals Fund

Mailed hardcopies unavailable.

PDF Format

Fiscal Q3 Holdings - Western Asset Managed Municipals Fund

Mailed hardcopies unavailable.

Risks

What Are the 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. Low-rated, high-yield bonds are subject to greater price volatility, illiquidity and possibility of default. Derivative instruments can be illiquid, may disproportionately increase losses, and have a potentially large impact on performance. An investor may be subject to the federal Alternative Minimum Tax, and state and local taxes may apply. These and other risks are discussed in the fund’s prospectus.

This website is intended for Primerica.