Company: WIA
Filing Date: 2025-01-28
Form Type: N-CSR
Source: 0001133228-25-000566
Chunk: 73

Company: WESTERN ASSET INFLATION-LINKED INCOME FUND
Filing Date: 2025-01-28
Form: N-CSR
Chunk 73
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 such an instruction,
Western Asset will be responsible for voting proxies in the best interests of the retirement account client and in accordance with any
proxy voting guidelines provided by the client.

ITEM 13. PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES.

(a)(1): As of the date of filing this report:

| NAME AND                |     | PRINCIPAL OCCUPATION(S) DURING                                                  |
| ADDRESS                 |     | PAST 5 YEARS                                                                    |
| Michael C. Buchanan     
 Western Asset           
 385 East Colorado Blvd. 
 Pasadena, CA            
 91101                   |     | Co-portfolio manager of the fund; Deputy Chief Investment Officer of            
 Western Asset since 2014; portfolio manager at Western Asset 2005-2014.         |
| Frederick Marki         
 Western Asset           
 385 East Colorado Blvd. 
 Pasadena, CA            |     | Co-portfolio manager of the fund since 2016; portfolio manager at Western Asset 
 for more than five years                                                        |

(a)(2): DATA TO BE PROVIDED BY FINANCIAL CONTROL

The following tables set forth certain additional information with respect
to the fund’s portfolio managers for the fund. Unless noted otherwise, all information is provided as of November 30, 2024.

Other Accounts Managed by Portfolio Managers

The table below identifies
the number of accounts (other than the fund) for which the fund’s portfolio managers have day-to-day management responsibilities
and the total assets in such accounts, within each of the following categories: registered investment companies, other pooled investment
vehicles, and other accounts. For each category, the number of accounts and total assets in the accounts where fees are based on performance
is also indicated.

| Name            
 of PM           |                            Type 
                      of Account |               Number 
 of  Accounts Managed |          Total 
 Assets Managed | Number                                                     
 of Accounts Managed for which Advisory Fee is Performance- 
 Based                                                      | Assets                                         
 Managed for which Advisory Fee is Performance- 
 Based                                          |
| Frederick       
 R. Marki‡       |                           Other 
 Registered Investment Companies |                   19 |         $17.80 
        billion | None                                                       | None                                           |
| Other           
 Pooled Vehicles |                              21 |                $8.74 
              billion |           None | None                                                       |                                                |
| Other           
 Accounts        |                             146 |               $49.63 
              billion |              1 | $24                                                        
 million                                                    |                                                |