Franklin Convertible Securities Fund

This fund or share class has been closed to new investors.

This fund or share class has been closed to new investors.

Distributions

Schedules

Dividend Distributions Further Information This fund is an ex-Dividend fund Quarterly
Capital Gain Distributions December

Rates and Yields Further Information

Distribution rate As of 07/02/2020 (updated daily)
With Sales Charge
At Net Asset Value 0.51%
30-Day Standardized yield As of 05/31/2020 (updated monthly)
w/ Waiver 0.64%
w/o Waiver 0.63%

TWELVE-MONTH-ROLLING DISTRIBUTIONS PER SHARE As of 07/05/2020 (updated daily)

Distribution amounts may be estimates Further Information

Month Amount ($) Record Date Ex-Date Payable Date Reinvestment Date Reinvestment Price ($)
June 2020
Income Distribution 0.025400 Jun 12 Jun 15 Jun 15 Jun 15 23.53
Total Distributions Per Share 0.025400 Jun 12 Jun 15 Jun 15 Jun 15 23.53
March 2020
Income Distribution 0.056600 Mar 13 Mar 16 Mar 16 Mar 16 17.42
Total Distributions Per Share 0.056600 Mar 13 Mar 16 Mar 16 Mar 16 17.42
December 2019
Income Distribution 0.021200 Dec 13 Dec 16 Dec 18 Dec 16 21.17
Long-Term Capital Gain 1.096300 Dec 13 Dec 16 Dec 18 Dec 16 21.17
Short-Term Capital Gain 0.512000 Dec 13 Dec 16 Dec 18 Dec 16 21.17
Total Distributions Per Share 1.629500 Dec 13 Dec 16 Dec 18 Dec 16 21.17
September 2019
Income Distribution 0.023300 Sep 13 Sep 16 Sep 18 Sep 16 22.02
Total Distributions Per Share 0.023300 Sep 13 Sep 16 Sep 18 Sep 16 22.02

Daily Fund Prices and Breakpoints [further-information] As of 07/02/2020

Share Prices ($)

52-week Range ($)

NAV Highon 07/02/2020  24.82
NAV Lowon 03/23/2020 16.75