Company: MMU
Filing Date: 2025-08-08
Form Type: N-CEN
Source: 0001752724-25-185675
Chunk: 1

Company: WESTERN ASSET MANAGED MUNICIPALS FUND INC.
Filing Date: 2025-08-08
Form: N-CEN
Chunk 1
---
| i. Common stock            
 ii. Preferred stock        
 iii. Warrants              
 iv. Convertible securities 
 v. Bonds                   
 vi. Other                  |

Item D.5. Default on long-term debt.

| Instruction                                                       
 . The term "long-term debt" means debt with a period of time from 
 date of initial issuance to maturity of one year or greater.      |     |
| a. Were any issues of the Fund's long-term debt in default at the 
 close of the reporting period with respect to the payment of      
 principal, interest, or amortization?                             | Yes 
 No  |

Item D.6. Dividends in arrears.

| Instruction                                                          
 . The term "dividends in arrears" means dividends that have not      
 been declared by the board of directors or other governing body of   
 the Fund at the end of each relevant dividend period set forth in    
 the constituent instruments establishing the rights of the           
 stockholders.                                                        |     |
| a. Were any accumulated dividends in arrears on securities issued by 
 the Fund at the close of the reporting period?                       | Yes 
 No  |

Item D.7. Modification of securities.

| Have the terms of any constituent instruments defining the rights of 
 the holders of any class of the Registrant's securities been         
 materially modified?                                                 | Yes 
 No  |

| If yes, provide the attachment required by Item G.1.b.ii. |

Item D.8. Management fee (closed-end companies only).

| Instruction.                                                        
 Base the percentage on amounts incurred during the reporting period |

| Provide the Fund's advisory fee as of the end        
 of the reporting period as percentage of net assets: | 0.80000000 |

Item D.9. Net annual operating expense.

| Provide the Fund's net annual operating                            
 expenses as of the end of the reporting period (net of any waivers 
 or reimbursements) as a percentage of net assets:                  | 2.84000000 |

Item D.10. Market price.

| Instruction.                                                    
 Respond to this item with respect to common stock issued by the 
 Registrant only.                                                |            |
| Market price per share at end of reporting                      
 period:                                                         | 9.91000000 |

Item D.11. Net asset value.

| Instruction.                                                    
 Respond to this item with respect to common stock issued by the 
 Registrant only.                                                |             |
| Net asset value per share at end of reporting