Western Asset Municipal Defined Opportunity Trust, Inc. is a non-diversified and closed-end management investment company, which engages in the investment activities in behalf of the fund’s shareholders. The company was founded in 2009 and is headquartered in New York, NY.
![Western Asset Municipal Defined Opportunity Trust logo](/files/LOGO/1454021-MTT.png)
Company profile
Website
CEO
Jane Trust
Employees
Incorporated
Location
Fiscal year end
Former names
Western Asset Municipal Term Trust Inc.
SEC CIK
Latest filings (excl ownership)
N-CEN
Annual report (registered investment company)
9 Feb 22
N-PX
Annual report of proxy voting record
20 Aug 21
25-NSE
Exchange delisting
3 May 21
N-CSR/A
Certified annual shareholder report (management investment company) (amended)
3 Mar 21
DEF 14A
Definitive proxy
1 Mar 21
N-CEN
Annual report (registered investment company)
8 Feb 21
N-CSR
Certified annual shareholder report (management investment company)
29 Jan 21
8-K
Amendments to Articles of Incorporation or Bylaws
18 Aug 20
N-PX
Annual report of proxy voting record
18 Aug 20
N-CSRS
Certified semi-annual shareholder report (management investment company)
28 Jul 20
Latest ownership filings
NPORT-P
Western Asset Municipal Defined Opportunity Trust Inc. (Feb 2021 report)
23 Apr 21
NPORT-P
Western Asset Municipal Defined Opportunity Trust Inc. (Nov 2020 report)
27 Jan 21
SC 13G
FIRST TRUST PORTFOLIOS LP
15 Jan 21
NPORT-P
Western Asset Municipal Defined Opportunity Trust Inc. (Aug 2020 report)
27 Oct 20
3
Laura F Fergerson
9 Oct 20
3
Brian Eakes
7 Oct 20
3
George P. Hoyt
19 Aug 20
3
Matthew Nicholls
10 Aug 20
3
Jed A. Plafker
7 Aug 20
3
JENNIFER M JOHNSON
7 Aug 20
Institutional ownership, Q3 2022
6.2% owned by funds/institutions
13F holders | Current |
---|---|
Total holders | 1 |
Opened positions | 0 |
Closed positions | 0 |
Increased positions | 0 |
Reduced positions | 0 |
13F shares | Current |
---|---|
Total value | 15.72 mm |
Total shares | 755.18 k |
Total puts | 0.00 |
Total calls | 0.00 |
Total put/call ratio | – |
Largest owners | Shares | Value |
---|---|---|
First Trust Portfolios | 755.18 k | $15.72 mm |