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Key Investor Information
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Class A Euro Distributing (M) (Hedged) Plus
Version=2.1
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PublicationCountry=CH
Language=de
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RecordDate=2022-02-11
ModificationDate=2022-02-09
SRRI=4
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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 Euro Distributing (M) (Hedged) Plus
ShareClassCustomerCode=410067-95
ISIN=IE000J9WOV28
SEDOL=BP68JC7
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