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Western Asset Non-U.S. Opportunity Bond Portfolio


Portfolio Information as of 9/30/08

Allocations
  Country Currency
Dollar Bloc 13% 2%
European Bloc 43% 52%
UK 12% 7%
Japan 14% 38%
Other -- 1%
Short-term Securities 18% --

Credit Quality
  Fund
AAA 77%
AA 1%
A 10%
BBB 2%
Not Rated 10%
Quality AA+

Portfolio Averages
  Fund
Life 8.9 years
Duration 6.7 years
Coupon 3.7%

Top 10 Holdings
  Fund
UK TREASURY 5.00%, 03/07/2012 10.93%
FRANCE (GOVT OF) 4.00%, 04/25/2055 9.35%
QUEENSLAND TREASURY CORP 6 14JUN11 6.00%, 06/14/2011 8.66%
BUNDESREPUB. DEUTSCHLAND 3.75%, 07/04/2013 5.77%
CANADA GOVT 4.00%, 06/01/2016 3.68%
NETWORK RAIL MTN FINANCE 4.87%, 03/06/2009 3.51%
DEVELOPMENT BK OF JAPAN 2.30%, 03/19/2026 3.51%
BUNDESREPUB. DEUTSCHLAND 3.75%, 01/04/2015 2.88%
CANADIAN GOVERNMENT NOTE 4.50%, 06/01/2015 2.85%
DEVELOPMENT BANK OF JAPAN 1.75%, 03/17/2017 2.78%


Holdings and Sectors are subject to change; please review the fund's Shareholder Report.

View the complete holdings


For portfolio statistics as of the most recent available month end, please contact our account services group at 888-425-6432.


FIXED INCOME
> Western Asset Non-U.S. Opportunity Bond Portfolio
EQUITY



Investors should consider the Fund's investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other information about the Fund. To obtain a free prospectus, click here or call 1-888-425-6432. Please read the prospectus carefully before investing.

All investments involve risk, including possible loss of principal.

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