Western Asset Income:PAI

    Manage Alerts

    Overview

    As of 4/25/2025. NAV as of 4/24/2025.

     Share
    Price
    NAVPremium/
    Discount
    Current$12.37$12.84-4.60%
    52 Wk Avg$12.43$13.05-4.77%
    52 Wk High$13.18$13.540.00%
    52 Wk Low$11.41$12.60-7.59%
    Regular Distribution TypeIncome Only
    Distribution Rate5.10%
    Distribution Amount$0.0525
    Distribution FrequencyMonthly
    Past performance is no guarantee of future results.

    Basic Information

    Investment Objective

    The Fund’s primary investment objective is to seek a high level of current income, consistent with prudent investment risk, through investment in a diversified portfolio of debt securities. To a lesser extent, the Fund may also invest in privately placed debt securities and in certain equity securities. Capital appreciation is a secondary investment objective.

    Capital Structure

    As of 4/25/2025

    Total Investment Exposure:$122.121M
    Total Common Assets:$122.121M
    Common Shares Outstanding:9,510,962
    Leverage

    As of 6/30/2008

    Preferred Share Assets:
    Total Debt (USD): $13.063M
    Regulatory Leverage (USD):
    Effective Leverage (USD): $13.063M
    Effective Leverage (%): 8.93%
    Annual Expense Ratios

    As of 12/31/2024

      Per Common Share
    Management Fees0.55%
    Other Expenses:0.19%
    Baseline Expense: N/A
    Interest Expense:N/A
    Total: 0.74%
    Fund Management

    Fund Sponsor
    Franklin Templeton Investments

    Portfolio Managers
    Ryan K. Brist, Blanton Y, Keh, Molly Schwartz, Dan Alexander, Michael Buchanan

    Basics
    Category: Fixed Income - Taxable-Investment Grade
    Ticker: PAI
    NAV Ticker: XPAIX
    Average Daily Volume (shares): 17,373
    Average Daily Volume (USD): $0.216M
    Inception Date: 12/21/1972
    Inception Share Price: $12.00
    Inception NAV: $0.00
    Tender Offer: No
    Term: No
    Fiscal Year End: December 31
    Third Party Links & Reports

    Distributions

    As of 4/25/2025

    Past performance is no guarantee of future results.
    Distribution History

    Enter declared start and end dates to display distribution history below. Income, Long Gain, Short Gain and ROC breakdowns will only be shown for the past year.

    Declared Date Payable Date Ex Date Distrib Amount Income Long Gain Short Gain ROC

    *Indicates a Special Distribution: A distribution disbursed in addition to the normal distributions paid out by the company.

    Key Information Regarding Distributions
    Avg. Earnings Per Share:
    As of 12/31/2024
    $0.3189
    Annualized Distribution Rate on NAV:
    As of 4/25/2025
    4.91%
    Total Return on NAV (12 months):
    As of 4/25/2025
    4.91%
    Avg. Portfolio Coupon:
    As of 4/25/2025
    5.82%
    Total % Portfolio Effectively Leveraged:
    As of 4/25/2025
    8.93%

    Pricing Information

    Premium/Discount Information
    Past performance is no guarantee of future results.
    Premium/Discount Information

    As of 4/25/2025

    PeriodAvg Discount
    6 Month-3.71%
    1 Year-4.77%
    3 Year-6.26%
    5 Year-4.59%
    Z-Score

    As of 4/25/2025

    PeriodZStat
    3 Month-0.65
    6 Month-0.67
    1 Year0.11
    Pricing History
    Date NAV Premium / Discount

    Performance

    Calendar Year Total Returns

    As of 3/31/2025
    Category: Morningstar US CEF Investment Grade

    Past 20 Years

    Return YearPriceNAVCategory - PriceCategory - NAV
    YTD3.99%2.15%2.80%2.72%
    20249.16%3.08%10.32%5.40%
    20239.09%9.14%11.40%9.27%
    2022-22.50%-16.51%-22.33%-16.45%
    20211.91%0.14%6.10%2.61%
    20206.73%9.11%6.79%7.72%
    201923.20%15.77%22.17%13.63%
    2018-12.34%-4.62%-5.98%-2.32%
    201715.85%10.27%10.93%8.34%
    201615.50%10.76%10.79%8.05%
    20151.92%-2.21%0.71%-1.10%
    20147.39%7.57%8.71%7.36%
    2013-6.36%0.73%-4.78%0.23%
    201212.80%14.84%  
    201113.37%5.04%  
    20107.38%10.85%  
    200932.05%34.41%  
    2008-15.79%-24.05%  
    2007-6.07%2.30%  
    200617.09%7.20%  
    2005-1.49%3.07%  
    Past performance is no guarantee of future results.
    Annualized Total Returns

    Returns for periods less than one year are cumulative rather than annualized

    As of 3/31/2025
    Category: Morningstar US CEF Investment Grade

    Past performance is no guarantee of future results.

    Portfolio Characteristics

    Portfolio Characteristics
    AMT:
    As of 3/31/2025
    0.00%
    Average Coupon:
    As of 4/24/2025
    5.82%
    Average Maturity:
    As of 3/31/2025
    11.26 yrs
    Number of Holdings:
    As of 3/31/2025
    468
    Annual Portfolio Turnover:
    As of 12/31/2024
    29.00%
    Pre-Refunded:
    0.00%
    Average Bond Price:
    As of 3/31/2025
    $99.12
    Asset Allocation

    As of 3/31/2025

    Top Sectors

    As of 3/31/2025

    Sector%Portfolio
    Corporate (Super Sector)93.20%
    Corporate Bond91.83%
    Government (Super Sector)3.74%
    Government2.76%
    Cash Equivalents (Super Sector)1.96%
    Cash Equivalents1.96%
    Preferred Stock1.22%
    Municipal (Super Sector)1.04%
    Municipal1.04%
    Government Related0.98%
    State Allocation

    As of 3/31/2025

    State% Portfolio
    California0.70%
    Illinois0.22%
    Florida0.12%
    Top Holdings

    As of 3/31/2025

    HoldingValue% Portfolio
    Kinder Morgan, Inc. 7.8%$2.28M1.86%
    Vale Overseas Limited 6.875%$1.25M1.02%
    MetLife Inc. 6.4%$1.17M0.95%
    Bank of America Corp. 7.75%$1.07M0.87%
    Comcast Corporation 6.4%$1.02M0.83%
    WarnerMedia Holdings Inc. 5.141%$0.99M0.81%
    ConocoPhillips 6.5%$0.90M0.73%
    Dow Chemical Co. (The) 7.375%$0.89M0.72%
    HSBC Holdings PLC 6.254%$0.89M0.72%
    America Movil S.A.B. de C.V. 6.125%$0.88M0.72%
    Credit Quality

    As of 3/31/2025

    Maturity Breakdown

    As of 3/31/2025

    Country Allocation

    As of 3/31/2025

    Country% Portfolio
    United States - Fixed Income66.73%
    United Kingdom - Fixed Income5.84%
    France - Fixed Income3.35%
    Others - Fixed Income3.21%
    Mexico - Fixed Income2.45%
    Canada - Fixed Income2.39%
    Switzerland - Fixed Income1.89%
    Brazil - Fixed Income1.83%
    Germany - Fixed Income1.10%
    Netherlands - Fixed Income1.04%
    Italy - Fixed Income0.97%
    Ireland - Fixed Income0.95%
    Argentina - Fixed Income0.86%
    Colombia - Fixed Income0.81%
    Spain - Fixed Income0.75%
    Belgium - Fixed Income0.68%
    Chile - Fixed Income0.33%
    China - Fixed Income0.26%
    Sweden - Fixed Income0.26%
    Australia - Fixed Income0.23%
    Hong Kong - Fixed Income0.22%
    Israel - Fixed Income0.18%
    Japan - Fixed Income0.17%

    Closed-end fund historical distribution sources have included net investment income, realized gains, and return of capital. For more detailed information on the distributions of a specific fund, please visit the sponsor's website.

    NOTES:

    Distribution type sourced from Morningstar. For specific information about a fund's distribution sources, visit the fund sponsor's website.

    The following information applies to closed-end funds in general: Fund shares are not guaranteed or endorsed by any bank or other insured depository institution, and are not federally insured by the Federal Deposit Insurance Corporation. Shares of closed-end funds are subject to investment risks, including the possible loss of principal invested. There can be no assurance that fund objectives will be achieved. Closed-end funds frequently trade at a discount to their net asset value. NAV returns are net of fund expenses, and assume reinvestment of distributions.

    E-2949862P-E0623W