%PDF-1.4
%
1 0 obj
</Creator<46756e644420627920534551564f4941>/ModDate(D:20220209210342+01'00')/CreationDate<443a32303232303230393138323732335a>/Subject<4b657920496e766573746f7220496e666f726d6174696f6e>/Producer(SEQVOIA; modified using iText 5.5.7 2000-2015 iText Group NV \(AGPL-version\))/Author<4672616e6b6c696e2054656d706c65746f6e>/Title<436c61737320412047425020446973747269627574696e6720284d2920284865646765642920506c7573>/EPSprocessor<505374696c6c2076657273696f6e20312e38342e3432>>>
endobj
2 0 obj
<>stream
Key Investor Information
Franklin Templeton
Class A GBP Distributing (M) (Hedged) Plus
Version=2.1
GeneratorContact=LEGG
DocumentType=KID
PublicationCountry=CH
Language=de
ShareClass=IE000G1ER031
RepShareClass=IE000G1ER031
RecordDate=2022-02-11
ModificationDate=2022-02-09
SRRI=4
RepShareClassCurrency=GBP
DateOfPublication=2022-02-11
PerformanceFee=0
EntryCharge=5.00%
ExitCharge=0
OngoingCharges=1.33%
FundName=Legg Mason Global Funds plc
FundCustomerCode=LMGFP
SubFundName=Legg Mason Brandywine Global Income Optimiser Fund
SubFundCustomerCode=DUBBWGIOF
ShareClassLongName=Class A GBP Distributing (M) (Hedged) Plus
ShareClassCustomerCode=410067-92
ISIN=IE000G1ER031
SEDOL=BP68JD8
VALOR=112523441
ShareClassName=Class A Distr. (A) (H) GBP
DistributionPolicy=Dis.
endstream
endobj
3 0 obj
</Pages 5 0 R>>
endobj
5 0 obj
<>
endobj
4 0 obj
<>/Contents 8 0 R/Type/Page/Resources<>/XObject<>>>/CropBox[0 0 595.276 841.89]/Parent 5 0 R/MediaBox[0 0 595.276 841.89]/TrimBox[0 0 595.276 841.89]>>
endobj
6 0 obj
<>>>/CropBox[0 0 595.276 841.89]/Parent 5 0 R/MediaBox[0 0 595.276 841.89]/TrimBox[0 0 595.276 841.89]>>
endobj
8 0 obj
<>stream
x}ێ;ݻB
hIRo`=7d+Hf,!aPsZ$d+~2198>!-{I|#)`u^ Me㰞FeG֕{2P6pI9\
mæhoy$Imv\WXFC).\ޚQ*;haH6VzySGRrF<uާmrO/h(7Ŵڧ2 gJJtʜ!zTF\Ni )#71Rg+
+FźN
CΆF
_GO.:t;Q3gڿ
E<s]L-95ZxΒe
;EB<tD<6S:"SGBK[s:G<baLr:LYL:sg
8HQ%:)G:Sv7 沺\oe \@jc;9;p;Hf1eb]R\ @ޡ\`J\V\YP^CL2c(ӈG(