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    SEC Form POS EX filed by Western Asset Global High Income Fund Inc

    10/21/24 4:51:58 PM ET
    $EHI
    Investment Managers
    Finance
    Get the next $EHI alert in real time by email
    POS EX 1 d862194dposex.htm WESTERN ASSET GLOBAL HIGH INCOME FUND Western Asset Global High Income Fund

    As filed with the Securities and Exchange Commission on October 21, 2024

    Securities Act Registration No. 333-276304

    Investment Company Act Registration No. 811-21337

     

     

     

    UNITED STATES

    SECURITIES AND EXCHANGE COMMISSION

    Washington, D.C. 20549

     

     

    FORM N-2

     

     

    REGISTRATION STATEMENT

    UNDER

    THE SECURITIES ACT OF 1933 ☒

    Pre-Effective Amendment No. ☐

    Post-Effective Amendment No. 2 ☒

    and/or

    REGISTRATION STATEMENT

    UNDER

    THE INVESTMENT COMPANY ACT OF 1940 ☒

    Amendment No. 9 ☒

     

     

    Western Asset Global High Income Fund Inc.

    (Exact Name of Registrant as Specified in Charter)

     

     

    620 Eighth Avenue, 47th Floor

    New York, New York 10018

    (Address of Principal Executive Offices)

    (888) 777-0102

    (Registrant’s Telephone Number, Including Area Code)

    Jane Trust

    Franklin Templeton

    280 Park Avenue

    New York, New York 10017

    (Name and Address of Agent for Service)

     

     

    Copies to:

     

    David W. Blass, Esq.

    Ryan P. Brizek, Esq.

    Simpson Thacher & Bartlett LLP

    900 G Street NW

    Washington, DC 20001

     

    Marc A. De Oliveira, Esq.

    Franklin Templeton

    100 First Stamford Place

    Stamford, CT 06902

     

     

    Approximate Date of Proposed Public Offering: From time to time after the effective date of this Registration Statement.

    If the only securities being registered on this Form are being offered pursuant to dividend or interest reinvestment plans, check the following box ☐.

    If any of the securities being registered on this form will be offered on a delayed or continuous basis in reliance on Rule 415 under the Securities Act of 1933, other than securities offered in connection with a dividend reinvestment plan, check the following box. ☒

    If this Form is a registration statement pursuant to General Instruction A.2 or a post-effective amendment thereto, check the following box ☒.

    If this Form is a registration statement pursuant to General Instruction B or a post-effective amendment thereto that will become effective upon filing with the Commission pursuant to Rule 462(e) under the Securities Act, check the following box ☐.

    If this Form is a post-effective amendment to a registration statement filed pursuant to General Instruction B to register additional securities or additional classes of securities pursuant to Rule 413(b) under the Securities Act, check the following box ☐.

    It is proposed that this filing will become effective (check appropriate box)

     

      ☐

    when declared effective pursuant to Section 8(c)

    If appropriate, check the following box:

     

      ☐

    This post-effective amendment designates a new effective date for a previously filed registration statement.

     

      ☐

    This form is filed to register additional securities for an offering pursuant to Rule 462(b) under the Securities Act and the Securities Act registration statement number of the earlier effective registration statement for the same offering is    .

     

      ☐

    This Form is a post-effective amendment filed pursuant to Rule 462(c) under the Securities Act, and the Securities Act registration statement number of the earlier effective registration statement for the same offering is    .

     

      ☐

    This Form is a post-effective amendment filed pursuant to Rule 462(d) under the Securities Act, and the Securities Act registration statement number of the earlier effective registration statement for the same offering is    .

    Check each box that appropriately characterizes the Registrant:

     

      ☒

    Registered Closed-End Fund (closed-end company that is registered under the Investment Company Act of 1940 (“Investment Company Act”)).

     

      ☐

    Business Development Company (closed-end company that intends or has elected to be regulated as a business development company under the Investment Company Act).

     

      ☐

    Interval Fund (Registered Closed-End Fund or a Business Development Company that makes periodic repurchase offers under Rule 23c-3 under the Investment Company Act).

     

      ☒

    A.2 Qualified (qualified to register securities pursuant to General Instruction A.2 of this Form).

     

      ☐

    Well-Known Seasoned Issuer (as defined by Rule 405 under the Securities Act).

     

      ☐

    Emerging Growth Company (as defined by Rule 12b-2 under the Securities Exchange Act of 1934 (“Exchange Act”).

     

      ☐

    If an Emerging Growth Company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 7(a)(2)(B) of Securities Act.

     

      ☐

    New Registrant (registered or regulated under the Investment Company Act for less than 12 calendar months preceding this filing).

     

     

    The Registrant hereby amends this Registration Statement on such date or dates as may be necessary to delay its effective date until the Registrant shall file a further amendment which specifically states that the Registration Statement shall thereafter become effective in accordance with Section 8(a) of the Securities Act of 1933, as amended, or until the Registration Statement shall become effective on such dates as the Securities and Exchange Commission, acting pursuant to said Section 8(a), may determine.

     

     

     


    EXPLANATORY NOTE

    This Post-Effective Amendment No. 2 to the Registration Statement on Form N-2 (File Nos. 333-276304 and 811-21337) of Western Asset Global High Income Fund Inc. (the “Registration Statement”) is being filed pursuant to Rule 462(d) under the Securities Act of 1933, as amended (the “Securities Act”), solely for the purpose of filing exhibits to the Registration Statement. Accordingly, this Post-Effective Amendment No. 2 consists only of a facing page, this explanatory note and Part C of the Registration Statement on Form N-2 setting forth the exhibits to the Registration Statement. This Post-Effective Amendment No. 2 does not modify any other part of the Registration Statement. Pursuant to Rule 462(d) under the Securities Act, this Post-Effective Amendment No. 2 shall become effective immediately upon filing with the Securities and Exchange Commission. The contents of the Registration Statement are hereby incorporated by reference.


    PART C

    OTHER INFORMATION

    Item 25. Financial Statements and Exhibits

     

    (1)

    Financial Statements for the fiscal years May 31, 2023, 2022, 2021, 2020, 2019, 2018, 2017, 2016, 2015, and 2014

     

      Part A

    Financial Highlights

     

      Part B

    Incorporated into Part B by reference to Registrant’s most recent Certified Shareholder Report on Form N-CSR, filed July 31, 2023 (File No. 811-21337):

     

       

    Schedule of Investments as of May 31, 2023

     

       

    Statement of Assets and Liabilities as of May 31, 2023

     

       

    Statement of Operations for the Year Ended May 31, 2023

     

       

    Statement of Changes in Net Assets for the Year Ended May 31, 2023

     

       

    Notes to Financial Statements for the Year Ended May 31, 2023

     

       

    Report of Independent Registered Public Accounting Firm for the Year Ended May 31, 2023

     

    (2)   Exhibits
    (a)(1)   Articles of Incorporation, dated April 16, 2003(1)
    (a)(2)   Articles of Amendment, dated June 5, 2003(1)
    (a)(3)   Articles of Amendment, dated September 19, 2006(1)
    (b)(1)   Third Amended and Restated Bylaws(2)
    (c)   Not Applicable
    (d)   Articles V and VIII of Registrant’s Articles of Incorporation are incorporated herein by reference.
    (e)   Dividend Reinvestment Plan(4)
    (f)   Not Applicable
    (g)(1)   Management Agreement between the Registrant and Franklin Templeton Fund Adviser, LLC (f/k/a Legg Mason Partners Fund Advisor, LLC)(4)
    (g)(2)   Subadvisory Agreement between Franklin Templeton Fund Adviser, LLC (f/k/a Legg Mason Partners Fund Advisor, LLC) and Western Asset Management Company, LLC(4)
    (g)(3)   Subadvisory Agreement between Western Asset Management Company, LLC and Western Asset Management Company Limited(4)


    (g)(4)   Subadvisory Agreement between Western Management Company, LLC and Western Asset Management Company Pte. Ltd.(4)
    (h)(1)   Distribution Agreement*
    (h)(2)   Sub-Placement Agent Agreement*
    (i)   Not Applicable
    (j)(1)   Custodian Services Agreement with The Bank of New York Mellon, dated January  1, 2018(4)
    (j)(2)   Amendment No. 9 to the Custodian Services Agreement, dated May 1, 2021, with The Bank of New York Mellon, dated January  1, 2018(4)
    (k)(1)   Transfer Agency and Services Agreement with Computershare Inc., dated March  14, 2016(4)
    (k)(2)   Amendment No. 9 to the Transfer Agency and Services Agreement, dated March 19, 2021, with Computershare Inc., dated March  14, 2016(4)
    (k)(3)   Margin Loan and Security Agreement with Bank of America, N.A., dated March  3, 2023(4)
    (l)   Opinion and Consent of Venable LLP*
    (m)   Not Applicable
    (n)   Consent of Independent Registered Public Accounting Firm(5)
    (o)   Not Applicable
    (p)   Not Applicable
    (q)   Not Applicable
    (r)(1)   Code of Ethics of the Fund and the Manager(4)
    (r)(2)   Code of Ethics of Western Asset(4)
    (s)   Filing Fee Table(4)
    (t)   Power of Attorney(3)

     

    (1)

    Filed on June 6, 2016 with Pre-Effective Amendment No. 2 to the Registrant’s Registration Statement on Form N-14 (File No. 333-209666 and 811-21337) and incorporated by reference herein.

    (2)

    Filed on August 18, 2020 with Form 8-K and incorporated by reference herein.

    (3)

    Filed on December 28, 2023 with the Registrant’s Registration Statement on Form N-2 (File Nos. 333-276304 and 811-21337) and incorporated by reference herein

    (4)

    Filed on March 6, 2024 with the Registrant’s Registration Statement on Form N-2 (File Nos. 333-276304 and 811-21337) and incorporated by reference herein.

    (5)

    Filed on March 7, 2024 with the Registrant’s Registration Statement on Form N-2 (File Nos. 333-276304 and 811-21337) and incorporated by reference herein.

    *

    Filed herewith

    **

    To be filed by amendment.

    Item 26. Marketing Arrangements

    Reference is made to the sales agreement for the Registrant’s common stock incorporated by reference herein or the form of underwriting agreement to be filed as an exhibit in a post-effective amendment to the Registrant’s Registration Statement and the section entitled “Plan of Distribution” contained in Registrant’s Prospectus incorporated by reference herein.


    Item 27. Other Expenses of Issuance and Distribution

    The following table sets forth the estimated expenses to be incurred in connection with the offering described in this Registration Statement:

     

    SEC registration fees

       $ 11,070  

    Financial Industry Regulatory Authority fees

         11,750  

    Accounting fees and expenses

         8,000  

    Legal fees and expenses

         100,000  
      

     

     

     

    Total

       $ 130,820  
      

     

     

     

    Item 28. Persons Controlled by or Under Common Control with Registrant

    None.

    Item 29. Number of Holders of Securities

    At February 26, 2024:

     

    Title of Class

       Number of
    Record Holders
     

    Common Stock, par value $0.001 per share

         198  

    Item 30. Indemnification

    Maryland law permits a Maryland corporation to include in its charter a provision eliminating the liability of its directors and officers to the corporation and its stockholders for money damages except for liability resulting from actual receipt of an improper benefit or profit in money, property or services or active and deliberate dishonesty that is established by a final judgment and is material to the cause of action. The Registrant’s Charter contains such a provision that eliminates such liability to the maximum extent permitted by Maryland law. In addition, the Registrant has provisions in its Charter and the Bylaws that authorize the Registrant, to the maximum extent permitted by Maryland law, to indemnify any present or former Director or officer from and against any claim or liability to which that person may become subject or which that person may incur by reason of his or her status as a present or former Director or officer of the Registrant and to pay or reimburse their reasonable expenses in advance of final disposition of a proceeding. Pursuant to the Bylaws, absent a court determination that an officer or Director seeking indemnification was not liable on the merits or guilty of willful misfeasance, bad faith, gross negligence or reckless disregard of the duties involved in the conduct of his office, the decision by the Registrant to indemnify such person will be based upon the reasonable determination of independent counsel or nonparty Independent Directors, after review of the facts, that such officer or Director is not guilty of willful misfeasance, bad faith, gross negligence or reckless disregard of the duties involved in the conduct of his office.

    Insofar as indemnification for liability arising under the Securities Act may be permitted to directors, officers and controlling persons of the Registrant pursuant to the foregoing provisions, or otherwise, the Registrant has been advised that, in the opinion of the Securities and Exchange Commission, such indemnification is against public policy as expressed in the Securities Act and is, therefore, unenforceable. In the event that a claim for indemnification against such liabilities (other than the payment by the Registrant of expenses incurred or paid by a director, officer or controlling person of the Registrant in the successful defense of any action, suit or proceeding) is asserted by such director, officer or controlling person in connection with the securities being registered, the Registrant will, unless in the opinion of its counsel the matter has been settled by controlling precedent, submit to a court of appropriate jurisdiction the question whether such indemnification by it is against public policy as expressed in the Securities Act and will be governed by the final adjudication of such issue.


    Item 31. Business and Other Connections of Adviser

    The descriptions of the Manager, Western Asset, Western Asset Limited and Western Asset Singapore under the caption “Management of the Fund” in the Prospectus and Statement of Additional Information of this registration statement are incorporated by reference herein. Information as to the directors and officers of the Manager, Western Asset, Western Asset Limited and Western Asset Singapore, together with information as to any other business, profession, vocation or employment of a substantial nature engaged in by the directors and officers of the Manager, Western Asset, Western Asset Limited and Western Asset Singapore in the last two years, is included in their respective applications for registration as an investment adviser on Form ADV (File Nos. 801-66785, 801-08162, 801-21068 and 801-67298, respectively) filed under the Investment Advisers Act of 1940, as amended, and is incorporated herein by reference.

    Item 32. Location of Accounts and Records

    The accounts and records of the Registrant are maintained at the office of the Registrant at 620 Eighth Avenue, New York, New York 10018.

    Item 33. Management Services

    Not applicable.

    Item 34. Undertakings

    1. Not applicable.

    2. Not applicable.

    3. The Registrant undertakes:

    (a) to file, during a period in which offers or sales are being made, a post-effective amendment to this Registration Statement:

    (1) to include any prospectus required by Section 10(a)(3) of the Securities Act;

    (2) to reflect in the prospectus any facts or events after the effective date of the registration statement (or the most recent post- effective amendment thereof) which, individually or in the aggregate, represent a fundamental change in the information set forth in the registration statement. Notwithstanding the foregoing, any increase or decrease in volume of securities offered (if the total dollar value of securities offered would not exceed that which was registered) and any deviation from the low or high end of the estimated maximum offering range may be reflected in the form of prospectus filed with the Commission pursuant to Rule 424(b) if, in the aggregate, the changes in volume and price represent no more than 20% change in the maximum aggregate offering price set forth in the “Calculation of Registration Fee” table in the effective registration statement.

    (3) to include any material information with respect to the plan of distribution not previously disclosed in the Registration Statement or any material change to such information in the Registration Statement.


    Provided, however, that paragraphs a(1), a(2), and a(3) of this section do not apply to the extent the information required to be included in a post-effective amendment by those paragraphs is contained in reports filed with or furnished to the Commission by the Registrant pursuant to Section 13 or Section 15(d) of the Exchange Act that are incorporated by reference into the registration statement, or is contained in a form of prospectus filed pursuant to Rule 424(b) that is part of the registration statement.

    (b) that, for the purpose of determining any liability under the Securities Act, each post-effective amendment to this registration statement shall be deemed to be a new registration statement relating to the securities offered therein, and the offering of those securities at that time shall be deemed to be the initial bona fide offering thereof;

    (c) to remove from registration by means of a post-effective amendment any of the securities being registered which remain unsold at the termination of the offering;

    (d) that, for the purpose of determining liability under the Securities Act to any purchaser:

    (1) if the Registrant is relying on Rule 430B [17 CFR 230.430B]:

    (A) Each prospectus filed by the Registrant pursuant to Rule 424(b)(3) shall be deemed to be part of the registration statement as of the date the filed prospectus was deemed part of and included in the registration statement; and

    (B) Each prospectus required to be filed pursuant to Rule 424(b)(2), (b)(5), or (b)(7) as part of a registration statement in reliance on Rule 430B relating to an offering made pursuant to Rule 415(a)(1)(i), (x), or (xi) for the purpose of providing the information required by Section 10(a) of the Securities Act shall be deemed to be part of and included in the registration statement as of the earlier of the date such form of prospectus is first used after effectiveness or the date of the first contract of sale of securities in the offering described in the prospectus. As provided in Rule 430B, for liability purposes of the issuer and any person that is at that date an underwriter, such date shall be deemed to be a new effective date of the registration statement relating to the securities in the registration statement to which that prospectus relates, and the offering of such securities at that time shall be deemed to be the initial bona fide offering thereof. Provided, however, that no statement made in a registration statement or prospectus that is part of the registration statement or made in a document incorporated or deemed incorporated by reference into the registration statement or prospectus that is part of the registration statement will, as to a purchaser with a time of contract of sale prior to such effective date, supersede or modify any statement that was made in the registration statement or prospectus that was part of the registration statement or made in any such document immediately prior to such effective date; or

    (2) if the Registrant is subject to Rule 430C: each prospectus filed pursuant to Rule 424(b) under the Securities Act as part of a registration statement relating to an offering, other than registration statements relying on Rule 430B or other than prospectuses filed in reliance on Rule 430A, shall be deemed to be part of and included in the registration statement as of the date it is first used after effectiveness. Provided, however, that no statement made in a registration statement or prospectus that is part of the registration statement or made in a document incorporated or deemed incorporated by reference into the registration statement or prospectus that is part of the registration statement will, as to a purchaser with a time of contract of sale prior to such first use, supersede or modify any statement that was made in the registration statement or prospectus that was part of the registration statement or made in any such document immediately prior to such date of first use.

    (e) that for the purpose of determining liability of the Registrant under the Securities Act to any purchaser in the initial distribution of securities:

    The undersigned Registrant undertakes that in a primary offering of securities of the undersigned Registrant pursuant to this registration statement, regardless of the underwriting method used to sell the securities to the purchaser, if the securities are offered or sold to such purchaser by means of any of the following communications, the undersigned Registrant will be a seller to the purchaser and will be considered to offer or sell such securities to the purchaser:


    (1) any preliminary prospectus or prospectus of the undersigned Registrant relating to the offering required to be filed pursuant to Rule 424 under the Securities Act;

    (2) free writing prospectus relating to the offering prepared by or on behalf of the undersigned Registrant or used or referred to by the undersigned Registrant;

    (3) the portion of any other free writing prospectus or advertisement pursuant to Rule 482 under the Securities Act relating to the offering containing material information about the undersigned Registrant or its securities provided by or on behalf of the undersigned Registrant; and

    (4) any other communication that is an offer in the offering made by the undersigned Registrant to the purchaser

    4. Registrant undertakes that, for the purpose of determining any liability under the Securities Act:

    (a) the information omitted from the form of prospectus filed as part of this registration statement in reliance upon Rule 430A and contained in the form of prospectus filed by the Registrant under Rule 424(b)(1) shall be deemed to be a part of this registration statement as of the time it was declared effective; and

    (b) each post-effective amendment that contains a form of prospectus will be deemed to be a new registration statement relating to the securities offered therein, and the offering of the securities at that time shall be deemed to be the initial bona fide offering thereof.

    5. The undersigned Registrant hereby undertakes that, for purposes of determining any liability under the Securities Act of 1933, each filing of the Registrant’s annual report pursuant to Section 13(a) or Section 15(d) of the Securities Exchange Act of 1934 that is incorporated by reference into the registration statement shall be deemed to be a new registration statement relating to the securities offered therein, and the offering of such securities at that time shall be deemed to be the initial bona fide offering thereof.

    6. Insofar as indemnification for liabilities arising under the Securities Act of 1933, as amended (the “Securities Act”), may be permitted to directors, officers and controlling persons of the Registrant pursuant to the foregoing provisions, or otherwise, the Registrant has been advised that in the opinion of the Securities and Exchange Commission such indemnification is against public policy as expressed in the Securities Act and is, therefore, unenforceable. In the event that a claim for indemnification against such liabilities (other than the payment by the Registrant of expenses incurred or paid by a director, officer or controlling person of the Registrant in the successful defense of any action, suit or proceeding) is asserted by such director, officer or controlling person in connection with the securities being registered, the Registrant will, unless in the opinion of its counsel the matter has been settled by controlling precedent, submit to a court of appropriate jurisdiction the question whether such indemnification by it is against public policy as expressed in the Securities Act and will be governed by the final adjudication of such issue.

    7. The Registrant undertakes to send by first class mail or other means designed to ensure equally prompt delivery, within two business days of receipt of a written or oral request, any prospectus or Statement of Additional Information.


    SIGNATURES

    Pursuant to the requirements of the Securities Act of 1933, as amended (the “1933 Act”), and the Investment Company Act of 1940, as amended, the Registrant has duly caused this Amendment to the Registration Statement to be signed on its behalf by the undersigned, thereunto duly authorized, in the City of New York, State of New York on the 21st day of October, 2024.

     

    WESTERN ASSET GLOBAL HIGH INCOME FUND INC.
    By:   /s/ Jane Trust
      Chairman, Chief Executive Officer and President

    Pursuant to the requirements of the 1933 Act, this Amendment to the Registration Statement has been signed by the following person in the capacity and on the date indicated.

     

    Signature

      

    Title

      

    Date

    /s/ Jane Trust

    Jane Trust

       Chairman, Chief Executive Officer, President and Director (Principal Executive Officer)   

    October 21, 2024

    /s/ Christopher Berarducci

    Christopher Berarducci

       Principal Financial Officer (Principal Financial and Accounting Officer)   

    October 21, 2024

    /s/ Robert D. Agdern*

    Robert D. Agdern

       Director   

    October 21, 2024

    /s/ Carol L. Colman*

    Carol L. Colman

       Director   

    October 21, 2024

    /s/ Daniel P. Cronin*

    Daniel P. Cronin

       Director   

    October 21, 2024

    /s/ Paolo M. Cucchi*

    Paolo M. Cucchi

       Director   

    October 21, 2024

    /s/ Eileen A. Kamerick*

    Eileen A. Kamerick

       Director   

    October 21, 2024

    /s/ Nisha Kumar*

    Nisha Kumar

       Director   

    October 21, 2024

     

    *By:  

    /s/ Jane Trust

      Jane Trust
      As Agent or Attorney-in-fact
    October 21, 2024

    The original power of attorney authorizing Jane Trust to execute this Registration Statement, and any amendments thereto, for the Directors of the Registrant on whose behalf this Registration Statement were filed on December 28, 2023 as an exhibit to the Registrant’s Registration Statement on Form N-2.


    Schedule of Exhibits to Form N-2

     

    Exhibit No.

     

    Exhibit

    (h)(1)  

    Distribution Agreement

    (h)(2)  

    Sub-Placement Agent Agreement

    (l)   Opinion and Consent of Venable LLP
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      11/19/24 8:00:00 AM ET
      $DMO
      $EHI
      $EMO
      $GDO
      Trusts Except Educational Religious and Charitable
      Finance
      Investment Managers
      Finance Companies
    • Franklin Templeton Fund Adviser, LLC Announces Distributions for the Months of September, October and November 2024

      Franklin Templeton Fund Adviser, LLC announced today that certain closed end funds have declared their distributions for the months of September, October and November 2024. The following dates apply to the distribution schedule below:   Month   Record Date   Ex-Dividend Date   Payable Date     September   9/23/2024   9/23/2024   10/1/2024     October   10/24/2024   10/24/2024   11/1/2024     November   11/21/2024   11/21/2024   12/2/2024   Ticker Fund Name

      8/6/24 8:00:00 AM ET
      $DMO
      $EHI
      $GDO
      $HIO
      Trusts Except Educational Religious and Charitable
      Finance
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      Finance Companies

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    • Certain Closed-end Funds Advised by Franklin Templeton Fund Adviser, LLC Announce Appointment of New Chair and Directors

      BrandywineGLOBAL – Global Income Opportunities Fund Inc. ("BWG") Clarion Partners Real Estate Income Fund Inc. ("CPREIF") ClearBridge Energy Midstream Opportunity Fund Inc. ("EMO") LMP Capital and Income Fund Inc. ("SCD") Western Asset Diversified Income Fund ("WDI") Western Asset Emerging Markets Debt Fund Inc. ("EMD") Western Asset Global Corporate Opportunity Fund Inc. ("GDO") Western Asset Global High Income Fund Inc. ("EHI") Western Asset High Income Fund II Inc. ("HIX") Western Asset High Income Opportunity Fund Inc. ("HIO") Western Asset High Yield Defined Opportunity Fund Inc. ("HYI") Western Asset Intermediate Muni Fund Inc. ("SBI") Western Asset Investment

      11/15/24 8:00:00 AM ET
      $BWG
      $DMO
      $EHI
      $EMD
      Finance/Investors Services
      Finance
      Trusts Except Educational Religious and Charitable
      Investment Managers

    $EHI
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    • SEC Form SC 13G/A filed by Western Asset Global High Income Fund Inc (Amendment)

      SC 13G/A - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Subject)

      1/12/24 9:39:12 AM ET
      $EHI
      Investment Managers
      Finance
    • SEC Form SC 13G/A filed by Western Asset Global High Income Fund Inc (Amendment)

      SC 13G/A - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Subject)

      1/13/23 9:28:55 AM ET
      $EHI
      Investment Managers
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    • SEC Form SC 13G/A filed by Western Asset Global High Income Fund Inc (Amendment)

      SC 13G/A - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Subject)

      1/20/22 9:40:54 AM ET
      $EHI
      Investment Managers
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    • SEC Form N-CSRS filed by Western Asset Global High Income Fund Inc

      N-CSRS - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Filer)

      1/28/25 8:22:33 AM ET
      $EHI
      Investment Managers
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    • SEC Form 424B3 filed by Western Asset Global High Income Fund Inc

      424B3 - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Filer)

      1/10/25 12:44:51 PM ET
      $EHI
      Investment Managers
      Finance
    • SEC Form SCHEDULE 13G filed by Western Asset Global High Income Fund Inc

      SCHEDULE 13G - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Subject)

      1/3/25 3:35:25 PM ET
      $EHI
      Investment Managers
      Finance

    $EHI
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    • SEC Form 3 filed by new insider Gahan Thomas

      3 - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Issuer)

      12/11/24 7:30:01 PM ET
      $EHI
      Investment Managers
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    • New insider Mason Peter Daniel Charles claimed no ownership of stock in the company (SEC Form 3)

      3 - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Issuer)

      11/22/24 11:28:33 AM ET
      $EHI
      Investment Managers
      Finance
    • New insider Grillo Anthony claimed no ownership of stock in the company (SEC Form 3)

      3 - WESTERN ASSET GLOBAL HIGH INCOME FUND INC. (0001228509) (Issuer)

      11/21/24 6:07:44 PM ET
      $EHI
      Investment Managers
      Finance