%PDF-1.4
%
1 0 obj
</Creator<46756e644420627920534551564f4941>/ModDate(D:20220803164612+02'00')/CreationDate<443a32303232303830333134323931345a>/Subject<4b657920496e766573746f7220496e666f726d6174696f6e>/Producer(SEQVOIA; modified using iText 5.5.7 2000-2015 iText Group NV \(AGPL-version\))/Author<4672616e6b6c696e2054656d706c65746f6e>/Title<436c61737320422055532420446973747269627574696e6720284429>/EPSprocessor<505374696c6c2076657273696f6e20312e38342e3432>>>
endobj
2 0 obj
<>stream
Key Investor Information
Franklin Templeton
Class B US$ Distributing (D)
Version=2.1
GeneratorContact=LEGG
DocumentType=KID
PublicationCountry=CH
Language=de
ShareClass=IE0034202188
RepShareClass=IE0034202188
RecordDate=2022-08-03
ModificationDate=2022-08-03
SRRI=3
RepShareClassCurrency=USD
DateOfPublication=2022-08-03
PerformanceFee=0
EntryCharge=0
ExitCharge=5.00%
OngoingCharges=1.35%
FundName=Legg Mason Global Funds plc
FundCustomerCode=LMGFP
SubFundName=Legg Mason Western Asset US Core Bond Fund
SubFundCustomerCode=DUBWAUSC
ShareClassLongName=Class B US$ Distributing (D)
ShareClassCustomerCode=410045-5
ISIN=IE0034202188
WKN=A0F631
SEDOL=3420218
VALOR=1808653
ShareClassName=Class B Distr. (D) USD
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$9r{}E>P!IVM@
¤}Hy{DVuًALu2Icw#ԓY{'
.70Gookn)<ү#KA|0p#SEVc$JB99r~2q;\w7|rOV3t<迬]MЉ~oN@_!4o:tQYuЈy2rXO#vxK7~2|Y@8:`5=bl%R|}e2boJV`H^)ws`S#L'Fr;@^l^kq2)D~2~_ZA^閎ī'bSBXQF
@O3T %vge;WF&=C }CQіgFpQGW I=[7m,9xYntE$)Y r3( f1}
hnJ'ry9 |yc 'i;|dR GdԭHXfHΎcHZY":ฏ0E`\ ɀ2 A\U q!3)b09bbF
FpM. 4B~pcMH?OVdfG)iL
ʥiѢĴnX֙Y&Y/L8چ[!m3ѓGLۃ1G2iFHL`4tH