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Western Asset Premier Bond Fund (WEA)
Price$10.86
Favorite Metrics
Price vs S&P 500 (26W)-6.82%
Price vs S&P 500 (4W)-4.76%
Market Capitalization$124.71M
All Metrics
P/CF (Annual)11.57x
Book Value / Share (Quarterly)$11.18
Indicated Dividend (Annual)$0.84
Cash Flow / Share (Quarterly)$1.31
Price vs S&P 500 (YTD)-4.42%
EPS (TTM)$0.60
10-Day Avg Trading Volume0.02M
EPS Excl Extra (TTM)$0.60
EPS (Annual)$-2.30
ROI (Annual)-13.48%
Cash / Share (Quarterly)$0.06
P/E Basic Excl Extra (TTM)17.37x
ROA (Last FY)-13.43%
EBITD / Share (TTM)$0.38
Cash Flow / Share (Annual)$0.91
P/B Ratio (Quarterly)0.91x
ROA (TTM)3.72%
EPS Incl Extra (Annual)$-2.30
Current Ratio (Annual)0.45x
Quick Ratio (Quarterly)1.36x
3-Month Avg Trading Volume0.03M
52-Week Price Return3.08%
EV / Free Cash Flow (Annual)16.05x
P/E Incl Extra (TTM)17.37x
52-Week High$11.44
EPS Excl Extra (Annual)$-2.30
26-Week Price Return-2.83%
Quick Ratio (Annual)0.45x
13-Week Price Return-3.18%
Total Debt / Equity (Annual)0.52x
Current Ratio (Quarterly)1.36x
Enterprise Value$173.028
Cash / Share (Annual)$0.04
3-Month Return Std Dev10.92%
ROE (Last FY)-20.47%
EPS Basic Excl Extra (Annual)$-2.30
EV / Free Cash Flow (TTM)11.14x
Total Debt / Equity (Quarterly)0.37x
EPS Incl Extra (TTM)$0.60
ROI (TTM)3.74%
Revenue / Share (Annual)$-0.00
Price vs S&P 500 (52W)-26.75%
P/E Ratio (TTM)17.37x
Year-to-Date Return-1.78%
5-Day Price Return-0.61%
EPS Normalized (Annual)$-2.30
Month-to-Date Return2.40%
EBITD / Share (Annual)$-2.43
LT Debt / Equity (Annual)0.43x
P/E Excl Extra (TTM)17.37x
LT Debt / Equity (Quarterly)0.36x
EPS Basic Excl Extra (TTM)$0.60
Payout Ratio (Annual)305.88%
P/B Ratio (Annual)0.93x
Book Value / Share (Annual)$11.22
Price vs S&P 500 (13W)-3.87%
Dividend Yield (TTM)3.77%
Beta0.53x
P/FCF (Annual)11.57x
ROE (TTM)5.40%
52-Week Low$10.30
About
Western Asset Premier Bond Fund is a closed-end investment fund that seeks current income and capital appreciation through a diversified portfolio of investment-grade bonds. The fund holds bonds across multiple sectors including financials, energy, telecommunications, healthcare, technology, and consumer industries. Its diversified approach balances yield generation with risk management across economic cycles.