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The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release Policy and is as of the date indicated. This portfolio data should not
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The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release Policy and is as of the date indicated. This portfolio data should not be relied upon as a complete listing of a fund's holdings (or of a fund's top holdings) as information on particular holdings may be withheld if it is in the fund's interest to do so. Additionally, foreign currency forwards are not included in the portfolio data. Instead, the net market value of all currency forward contracts is included in cash and other net assets of the fund. Further, portfolio holdings data of over-the-counter derivative investments such as Credit Default Swaps, Interest Swaps or other Swap contracts list only the name of counterparty to the derivative contract, not the details of the derivative. Complete portfolio data can be found in the semi- and annual financial statements of the fund. BYT7FR1 BYXW6W4 UV BYTL647 BYRJQ76 BZBW452 Y06944NA9 BYV6X16 SL602H5J DDD DDD SL472PWU DDD DDD DDD SLMH1CEK DDD DDD DDD SL471X8L DDD DDD B1RMM21 DDD DDD BANK NEGARA MONETARY NOTE 110,000 $25, % N/A 05/12/16 BANK NEGARA MONETARY NOTE 2,240,000 $509, % N/A 10/11/16 BANK NEGARA MONETARY NOTE 6,657,000 $1,538, % N/A 04/19/16 BANK NEGARA MONETARY NOTE 10,050,000 $2,330, % N/A 03/01/16 BANK NEGARA MONETARY NOTE 17,720,000 $4,041, % N/A 09/15/16 BANK NEGARA MONETARY NOTE 40,550,000 $9,313, % N/A 07/05/16 BANK NEGARA MONETARY NOTE 79,340,000 $18,254, % N/A 06/07/16 BIZ FINANCE PLC (UKREXIMBANK) 2,480,000 $2,161, % 9.75% 01/22/25 CITIGROUP INC (7,460,000) ($2,543,753) -0.08% N/A 02/25/41 CITIGROUP INC (34,000,000) ($1,769,772) -0.05% N/A 07/07/24 CITIGROUP INC (17,910,000) $272, % N/A 01/30/25 CITIGROUP INC (21,150,000) $330, % N/A 01/29/25 CITIGROUP INC (183,490,000) $538, % N/A 10/17/17 CITIGROUP INC (28,210,000) $732, % N/A 02/03/25 CITIGROUP INC (84,590,000) $1,061, % N/A 01/27/25 CITIGROUP INC (143,340,000) $1,829, % N/A 01/23/25 CITIGROUP INC (114,670,000) $1,997, % N/A 01/22/25 DEUTSCHE BANK AG (6,370,000) ($1,421,594) -0.04% N/A 10/04/43 DEUTSCHE BANK AG (6,370,000) ($1,396,986) -0.04% N/A 10/04/43 DEUTSCHE BANK AG (14,630,000) ($1,309,312) -0.04% N/A 03/28/21 DEUTSCHE BANK AG (13,090,000) ($748,968) -0.02% N/A 10/04/23 DEUTSCHE BANK AG (13,090,000) ($729,814) -0.02% N/A 10/04/23 EXPORT-IMPORT BANK OF KOREA 230,000 $262, % 4.625% 02/20/17 HSBC BANK PLC (6,370,000) ($1,406,535) -0.04% N/A 10/07/43 HSBC BANK PLC (13,090,000) ($720,514) -0.02% N/A 10/07/23 HUNGARY GOVERNMENT BOND 1,771,440,000 $6,682, % 6.75% 11/24/17 Page 1 of 8 451029AE C3 BBGB069 BBGB6Y9 B05HF33 B2889N5 B8VZ7M0 B40G812 BNJZTT8 BLRX796 B2490L7 B3ZR761 B4QWH17 B1W6P30 Y39814DS7 B BDZCRY4 B4NPD22 Y39814DU2 B1377F8 BCV7LV1 B114G54 B44K553 Y39814JK8 B1SDSD6 BDWZ4N4 B894X65 B71C1X3 B23GK97 B0BSGY8 B0Y51T6 BGQYSR0 Y6S86ZCA5 ICELAND GOVERNMENT INTERNATION 6,830,000 $7,769, % 5.875% 05/11/22 IFT MONEY MARKET PORTFOLIO 422,307,920 $422,307, % N/A N/A INDIA GOVERNMENT BOND 28,000,000 $418, % 7.28% 06/03/19 INDIA GOVERNMENT BOND 133,700,000 $1,937, % 7.16% 05/20/23 INDIA GOVERNMENT BOND 212,700,000 $3,286, % 8.35% 05/14/22 INDIA GOVERNMENT BOND 217,800,000 $3,357, % 8.28% 09/21/27 INDIA GOVERNMENT BOND 541,300,000 $8,306, % 8.12% 12/10/20 INDIA GOVERNMENT BOND 720,800,000 $10,920, % 7.8% 05/03/20 INDIA GOVERNMENT BOND 747,500,000 $11,824, % 8.6% 06/02/28 INDIA GOVERNMENT BOND 1,805,900,000 $28,692, % 8.83% 11/25/23 INDONESIA GOVERNMENT 12,000,000 $ % 10% 02/15/28 INDONESIA GOVERNMENT 25,000,000 $1, % 7% 05/15/27 INDONESIA GOVERNMENT 37,000,000 $2, % 6.125% 05/15/28 INDONESIA GOVERNMENT 4,454,000,000 $343, % 10% 09/15/24 INDONESIA GOVERNMENT 5,491,000,000 $459, % 11.75% 08/15/23 INDONESIA GOVERNMENT 16,920,000,000 $1,235, % 9% 09/15/18 INDONESIA GOVERNMENT 20,350,000,000 $1,483, % 9% 03/15/29 INDONESIA GOVERNMENT 32,066,000,000 $2,279, % 8.375% 09/15/26 INDONESIA GOVERNMENT 46,856,000,000 $3,869, % 11% 09/15/25 INDONESIA GOVERNMENT 49,810,000,000 $3,914, % 11.5% 09/15/19 INDONESIA GOVERNMENT 81,180,000,000 $5,534, % 8.375% 03/15/34 INDONESIA GOVERNMENT 70,838,000,000 $6,139, % 12.9% 06/15/22 INDONESIA GOVERNMENT 86,937,000,000 $6,169, % 8.25% 07/15/21 INDONESIA GOVERNMENT 120,751,000,000 $8,539, % 8.375% 03/15/24 INDONESIA GOVERNMENT 146,713,000,000 $11,359, % 10.25% 07/15/22 INDONESIA GOVERNMENT 183,709,000,000 $13,024, % 7.875% 04/15/19 INDONESIA GOVERNMENT 258,112,000,000 $15,496, % 5.625% 05/15/23 INDONESIA GOVERNMENT 242,612,000,000 $16,105, % 7% 05/15/22 INDONESIA GOVERNMENT 226,780,000,000 $16,982, % 9.5% 07/15/23 INDONESIA GOVERNMENT 243,080,000,000 $19,135, % 11% 11/15/20 INDONESIA GOVERNMENT 390,269,000,000 $33,065, % 12.8% 06/15/21 INDONESIA RETAIL BOND 3,358,000,000 $244, % 8.5% 10/15/16 INDONESIA TREASURY BILL 15,582,000,000 $1,123, % N/A 02/04/16 Page 2 of 8 Y6S86ZBX6 B1XMGC3 B4TV0D4 SL602H6G SLFI0TBB SLF0149C SL4K2FAX BWBXP62 BYRP8H8 QJ QJ QJ BYPJ0P4 BZ07RH1 UV BYTLH33 BRJ2WT8 BXRTCZ9 BVVT4R7 BJTCKY3 BN791V8 BYVT542 BYTLG03 BT9QB75 BLDY6J6 BPZ5D38 BYZTR86 B65QF21 B1FJBZ0 BBGB791 BTDYG36 BH4H384 BP7ZY22 INDONESIA TREASURY BILL 25,280,000,000 $1,833, % N/A 01/07/16 INTER-AMERICAN DEVELOPMENT BAN 200,000,000 $13,012, % 7.5% 12/05/24 IRELAND REP OF 18,421,980 $27,408, % 5.4% 03/13/25 JPMORGAN CHASE & CO (7,460,000) ($2,547,597) -0.08% N/A 02/25/41 JPMORGAN CHASE & CO (5,600,000) ($1,891,311) -0.06% N/A 02/28/41 JPMORGAN CHASE & CO (1,870,000) ($620,743) -0.02% N/A 03/01/41 JPMORGAN CHASE & CO (3,240,000) ($293,669) -0.01% N/A 03/04/21 KOREA MONETARY STAB BOND 640,770,000 $545, % 1.92% 03/09/16 KOREA MONETARY STAB BOND 1,909,400,000 $1,617, % N/A 04/19/16 KOREA MONETARY STAB BOND 2,942,500,000 $2,503, % N/A 01/05/16 KOREA MONETARY STAB BOND 3,733,000,000 $3,175, % N/A 01/12/16 KOREA MONETARY STAB BOND 5,289,000,000 $4,497, % 1.53% 10/08/16 KOREA MONETARY STAB BOND 5,579,800,000 $4,747, % 1.57% 07/09/16 KOREA MONETARY STAB BOND 6,427,100,000 $5,469, % 1.62% 06/09/16 KOREA MONETARY STAB BOND 8,119,500,000 $6,905, % 1.52% 09/09/16 KOREA MONETARY STAB BOND 9,221,100,000 $7,854, % 1.7% 08/02/17 KOREA MONETARY STAB BOND 9,647,500,000 $8,246, % 2.22% 10/02/16 KOREA MONETARY STAB BOND 11,405,300,000 $9,710, % 1.74% 05/09/16 KOREA MONETARY STAB BOND 16,503,100,000 $14,093, % 1.96% 02/02/17 KOREA MONETARY STAB BOND 20,416,550,000 $17,388, % 2.78% 02/02/16 KOREA MONETARY STAB BOND 25,559,400,000 $21,856, % 2.79% 06/02/16 KOREA MONETARY STAB BOND 33,034,700,000 $28,108, % 1.61% 11/09/16 KOREA MONETARY STAB BOND 33,975,300,000 $28,903, % 1.56% 08/09/16 KOREA MONETARY STAB BOND 35,696,200,000 $30,497, % 2.07% 12/02/16 KOREA MONETARY STAB BOND 38,761,670,000 $33,081, % 2.8% 04/02/16 KOREA MONETARY STAB BOND 49,449,700,000 $42,291, % 2.46% 08/02/16 KOREA MONETARY STAB BOND 54,756,600,000 $46,535, % 1.56% 10/02/17 KOREA TREASURY BOND 1,283,100,000 $1,096, % 4% 03/10/16 KOREA TREASURY BOND 2,806,000,000 $2,442, % 5% 09/10/16 KOREA TREASURY BOND 41,951,400,000 $35,874, % 2.75% 06/10/16 KOREA TREASURY BOND 49,196,500,000 $42,150, % 2% 12/10/17 KOREA TREASURY BOND 52,145,160,000 $44,934, % 3% 12/10/16 LETRA TESOURO NACIONAL 4,700 $1,064, % N/A 10/01/16 Page 3 of 8 B930ZK4 BJ38WR4 B52JL84 BBGB7X5 BVCXGN8 BYML AF AD3 B0FGMD9 B1RPMZ3 B11ZPD8 B84XNT0 B4PDW94 B7GJDB1 BKWB0W2 BYZQV85 Y55745UE4 BYL7YL6 EK BWWC1Z9 BYY8M90 BYTBKX4 P4R07XNC6 JV P4R07XJZ0 BX9CYK5 BZ77Y06 BYTZ3G0 P4R07XMU7 BYZ6527 P4R07XJN7 BYZ3F51 BYTZ3F9 LETRA TESOURO NACIONAL 8,470 $1,995, % N/A 07/01/16 LETRA TESOURO NACIONAL 28,770 $5,366, % N/A 01/01/18 LETRA TESOURO NACIONAL 38,490 $9,712, % N/A 01/01/16 LETRA TESOURO NACIONAL 46,660 $10,180, % N/A 01/01/17 LETRA TESOURO NACIONAL 66,660 $10,631, % N/A 01/01/19 LETRA TESOURO NACIONAL 102,840 $15,206, % N/A 07/01/19 LITHUANIA REPUBLIC OF 1,890,000 $2,182, % 6.125% 03/09/21 LITHUANIA REPUBLIC OF 10,560,000 $12,520, % 7.375% 02/11/20 MALAYSIA GOVT 44,360,000 $10,603, % 4.24% 02/07/18 MALAYSIA GOVT 63,785,000 $15,046, % 3.814% 02/15/17 MALAYSIA GOVT 88,243,000 $20,791, % 4.262% 09/15/16 MALAYSIA GOVT 178,906,000 $41,806, % 3.172% 07/15/16 MALAYSIA GOVT 185,720,000 $44,118, % 4.012% 09/15/17 MALAYSIA GOVT 275,430,000 $64,684, % 3.314% 10/31/17 MALAYSIA GOVT 387,890,000 $91,122, % 3.394% 03/15/17 MALAYSIA TREASURY BILL 110,000 $25, % N/A 05/06/16 MALAYSIA TREASURY BILL 2,000,000 $465, % N/A 01/22/16 MALAYSIA TREASURY BILL 2,690,000 $619, % N/A 05/27/16 MALAYSIA TREASURY BILL 2,800,000 $648, % N/A 03/18/16 MALAYSIA TREASURY BILL 3,380,000 $780, % N/A 04/29/16 MALAYSIA TREASURY BILL 4,250,000 $988, % N/A 01/22/16 MALAYSIA TREASURY BILL 11,860,000 $2,746, % N/A 03/18/16 MEXICAN CETES 3,194,690 $1,791, % N/A 12/08/16 MEXICAN CETES 10,210,990 $5,883, % N/A 03/23/16 MEXICAN CETES 13,401,150 $7,735, % N/A 03/03/16 MEXICAN CETES 13,776,780 $7,920, % N/A 04/14/16 MEXICAN CETES 17,617,240 $10,071, % N/A 06/09/16 MEXICAN CETES 21,016,830 $12,166, % N/A 01/21/16 MEXICAN CETES 21,926,120 $12,370, % N/A 10/13/16 MEXICAN CETES 22,836,670 $13,189, % N/A 02/18/16 MEXICAN CETES 31,538,830 $18,280, % N/A 01/07/16 MEXICAN CETES 31,984,430 $18,352, % N/A 04/28/16 MEXICAN CETES 46,067,250 $26,643, % N/A 02/04/16 Page 4 of 8 BYZ3F40 BYT0Q44 BYZ6572 B6WC685 B3SRS09 B2PGD74 B1QJKS5 B57K9Y4 B59ZFP0 B1KG639 B39TML3 BZ0NVN3 B39VBY5 B4L4D09 B1G0VN0 BKXH223 BKRCXK9 B10C1R6 B6R2RF4 P8T64ZKW9 B7QMXZ4 B9LDZM7 B4Q5YM6 BJ0X0K1 B62L3V4 B1VRLR0 B0TP8N4 B1MT4D2 BBBSDB1 B665ZV6 BYMWVG4 UV Y6972FVM9 MEXICAN CETES 59,766,780 $34,216, % N/A 05/26/16 MEXICAN CETES 87,177,870 $49,767, % N/A 06/23/16 MEXICAN CETES 132,797,920 $76,404, % N/A 03/31/16 MEXICAN FIXED RATE BONDS 5,519,810 $32,419, % 6.25% 06/16/16 MEXICAN FIXED RATE BONDS 8,527,900 $54,569, % 8.5% 12/13/18 MEXICAN FIXED RATE BONDS 11,282,600 $70,039, % 7.75% 12/14/17 MEXICAN FIXED RATE BONDS 18,216,300 $109,262, % 7.25% 12/15/16 MEXICAN UDIBONOS 328,144 $1,851, % 2.5% 12/10/20 MEXICAN UDIBONOS 416,664 $2,513, % 4% 06/13/19 MEXICAN UDIBONOS 605,489 $3,533, % 5% 06/16/16 MEXICAN UDIBONOS 607,050 $3,626, % 3.5% 12/14/17 MONETARY AUTHORITY OF SINGAPOR 1,760,000 $1,241, % N/A 01/05/16 NOTA DO TESOURO NACIONAL NTNB 202 $140, % 6% 05/15/17 NOTA DO TESOURO NACIONAL NTNB 1,090 $728, % 6% 08/15/20 NOTA DO TESOURO NACIONAL NTNB 3,110 $2,002, % 6% 08/15/24 NOTA DO TESOURO NACIONAL NTNB 5,716 $3,707, % 6% 05/15/23 NOTA DO TESOURO NACIONAL NTNB 8,578 $5,807, % 6% 05/15/19 NOTA DO TESOURO NACIONAL NTNB 10,825 $6,398, % 6% 05/15/45 NOTA DO TESOURO NACIONAL NTNB 14,388 $10,073, % 6% 08/15/16 NOTA DO TESOURO NACIONAL NTNB 15,665 $10,739, % 6% 08/15/18 NOTA DO TESOURO NACIONAL NTNB 18,770 $12,252, % 6% 08/15/22 NOTA DO TESOURO NACIONAL NTNF 21,390 $4,642, % % 01/01/19 NOTA DO TESOURO NACIONAL NTNF 34,570 $6,544, % % 01/01/23 NOTA DO TESOURO NACIONAL NTNF 42,400 $7,659, % % 01/01/25 NOTA DO TESOURO NACIONAL NTNF 44,610 $8,963, % % 01/01/21 NOTA DO TESOURO NACIONAL NTNF 113,220 $27,206, % % 01/01/17 PERU BOND SOBERANO 11,090,000 $3,429, % 7.84% 08/12/20 PHILIPPINE GOVERNMENT 31,840,000 $702, % 9.125% 09/04/16 PHILIPPINE GOVERNMENT 1,008,970,000 $21,443, % 1.625% 04/25/16 PHILIPPINE GOVERNMENT 1,053,730,000 $22,498, % 7% 01/27/16 PHILIPPINE TREASURY BILL 690,000 $14, % N/A 07/06/16 PHILIPPINE TREASURY BILL 26,520,000 $558, % N/A 09/07/16 PHILIPPINE TREASURY BILL 43,980,000 $930, % N/A 05/04/16 Page 5 of 8 JV JV BW38R69 Y6972FVR8 UV BZ18160 BBPR6W B4P06N7 X8T0D6AT5 B4QH8F3 B764P21 B39RJP0 B94V863 BQQLM AD AE AH AE AC AD AB8 Y7996FUC AD AB2 B9BBZD2 B7TC4P8 BLT1RS7 B Y2029SFF6 Y2835MY88 Y2835M5K3 Y2836MBG4 PHILIPPINE TREASURY BILL 66,960,000 $1,413, % N/A 06/08/16 PHILIPPINE TREASURY BILL 67,530,000 $1,414, % N/A 12/07/16 PHILIPPINE TREASURY BILL 80,490,000 $1,709, % N/A 03/02/16 PHILIPPINE TREASURY BILL 122,260,000 $2,575, % N/A 08/03/16 PHILIPPINE TREASURY BILL 147,620,000 $3,133, % N/A 03/09/16 PHILIPPINE TREASURY BILL 281,090,000 $5,979, % N/A 02/03/16 POLAND GOVERNMENT 47,077,000 $11,993, % N/A 01/25/16 POLAND GOVERNMENT 48,750,000 $14,796, % 5.75% 09/23/22 POLAND GOVERNMENT 60,135,000 $15,099, % 1.79% 01/25/21 POLAND GOVERNMENT 59,279,000 $15,134, % 1.79% 01/25/17 POLAND GOVERNMENT 61,000,000 $15,715, % 5% 04/25/16 POLAND GOVERNMENT 340,685,000 $89,115, % 4.75% 10/25/16 PORTUGAL REPUBLIC OF 284,900 $370, % 4.95% 10/25/23 PORTUGAL REPUBLIC OF 712,400 $960, % 5.65% 02/15/24 PORTUGAL REPUBLIC OF 41,530,000 $49,007, % 3.875% 02/15/30 REPUBLIC OF HUNGARY 5,510,000 $6,166, % 6.25% 01/29/20 REPUBLIC OF HUNGARY 13,890,000 $15,828, % 6.375% 03/29/21 REPUBLIC OF HUNGARY 22,870,000 $24,955, % 5.375% 02/21/23 REPUBLIC OF PORTUGAL 28,820,000 $29,608, % 5.125% 10/15/24 SERBIA INTERNATIONAL BOND 4,590,000 $4,766, % 5.25% 11/21/17 SERBIA INTERNATIONAL BOND 8,800,000 $9,031, % 4.875% 02/25/20 SERBIA INTERNATIONAL BOND 32,130,000 $36,464, % 7.25% 09/28/21 SINGAPORE GOVERNMENT 11,000,000 $7,763, % 1.125% 04/01/16 SLOVENIA (REPUBLIC OF) 3,630,000 $4,140, % 5.85% 05/10/23 SLOVENIA (REPUBLIC OF) 7,940,000 $8,883, % 5.5% 10/26/22 SRI LANKA GOVERNMENT BOND 40,210,000 $266, % 8% 11/01/19 SRI LANKA GOVERNMENT BOND 40,210,000 $279, % 8% 06/15/17 SRI LANKA GOVERNMENT BOND 41,710,000 $290, % 8.25% 03/01/17 SRI LANKA GOVERNMENT BOND 63,830,000 $427, % 7.5% 08/15/18 SRI LANKA GOVERNMENT BOND 69,990,000 $515, % 11.2% 07/01/22 SRI LANKA GOVERNMENT BOND 109,200,000 $754, % 6.4% 08/01/16 SRI LANKA GOVERNMENT BOND 112,300,000 $765, % 5.8% 01/15/17 SRI LANKA GOVERNMENT BOND 119,100,000 $820, % 6.4% 10/01/16 Page 6 of 8 B7T58T9 BYZWGQ6 B96X4J2 Y2835NCQ0 Y2029SLW2 Y2835NGF0 Y2029SKF0 B8NX7D3 BHZGQ AV AW AU AT AS AR AQ AP AN AM4 SRI LANKA GOVERNMENT BOND 146,350,000 $1,009, % 8.5% 07/15/18 SRI LANKA GOVERNMENT BOND 153,220,000 $1,043, % 9.25% 05/01/20 SRI LANKA GOVERNMENT BOND 483,480,000 $3,338, % 8.5% 04/01/18 SRI LANKA GOVERNMENT BOND 512,300,000 $3,458, % 8% 11/15/18 SRI LANKA GOVERNMENT BOND 575,640,000 $4,182, % 11% 08/01/21 SRI LANKA GOVERNMENT BOND 633,000,000 $4,357, % 8.5% 06/01/18 SRI LANKA GOVERNMENT BOND 704,060,000 $5,080, % 10.6% 09/15/19 SRI LANKA GOVERNMENT BOND 861,720,000 $5,786, % 9% 05/01/21 SRI LANKA GOVERNMENT BOND 1,071,930,000 $7,721, % 10.6% 07/01/19 UKRAINE GOVERNMENT 4,249,000 $3,968, % 7.75% 09/01/19 UKRAINE GOVERNMENT 29,978,000 $12,103, % N/A 05/31/40 UKRAINE GOVERNMENT 14,658,000 $12,805, % 7.75% 09/01/27 UKRAINE GOVERNMENT 14,658,000 $12,823, % 7.75% 09/01/26 UKRAINE GOVERNMENT 14,769,000 $13,059, % 7.75% 09/01/25 UKRAINE GOVERNMENT 14,769,000 $13,140, % 7.75% 09/01/24 UKRAINE GOVERNMENT 14,769,000 $13,231, % 7.75% 09/01/23 UKRAINE GOVERNMENT 14,769,000 $13,435, % 7.75% 09/01/22 UKRAINE GOVERNMENT 14,769,000 $13,514, % 7.75% 09/01/21 UKRAINE GOVERNMENT 14,822,000 $13,711, % 7.75% 09/01/20 Page 7 of 8 Important Legal Information Portfolio holdings are subject to change without notice and may not represent current or future portfolio composition. The portfolio data is as of the date indicated and we disclaim any responsibility to update the information. The net market value of all currency forward contracts is included in cash and other net assets, reflected in the base currency of the fund. The net market value of any Credit Default, Interest and/or other Swap contract positions are displayed as exposure to the issuing counterparty (i.e. Citibank ). Unlike the fund s regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it differs from that in the complete statement of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete statement of investments provided in the first and third quarter SEC Form N-Q filings for each fiscal year. The portfolio data is for information only. It does not constitute a recommendation or an offer for a particular security or fund, nor should it be taken as a solicitation or a recommendation to buy or sell securities or other investments. Shares of the insurance funds of the Franklin Templeton Variable Insurance Products Trust (FTVIPT) are offered only to insurance company separate accounts to serve as the investment vehicles for variable insurance contracts (Contracts), and are not offered to the public. Not all funds and classes are available in all Contracts. For information on our insurance funds, contact your financial advisor or see the Contract prospectus, which includes the applicable FTVIPT fund prospectus. Copyright Franklin Templeton Investments. All rights reserved. Page 8 of 8
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