Franklin LifeSmart 2025 Retirement Target Fund

Average Annual Total Returns [further-information] As of 08/31/2020

Performance data quoted represents past performance, which does not guarantee future results. Current performance may differ from figures shown. Investment return and principal value will fluctuate with market conditions, and you may have a gain or a loss when you sell your shares.
Month EndAs of 08/31/2020 1 Yr 3 Yr 5 Yr 10 Yr Since InceptionInception 08/01/2006
Fund without Sales Charge (%) (NAV) 9.99 6.26 6.24 7.48 5.80
Fund with Sales Charge (%) (POP) 3.95 4.29 5.04 6.88 5.38
Blended Benchmark (%) 11.28 7.01 8.01 9.12 6.25
MSCI All Country World Index (%) 17.12 9.56 10.80 10.49 7.01
Bloomberg Barclays Multiverse Index (%) 5.44 3.87 4.24 2.79 4.04
Quarter EndAs of 06/30/2020 1 Yr 3 Yr 5 Yr 10 Yr Since InceptionInception 08/01/2006
Fund without Sales Charge (%) (NAV) 2.50 4.74 3.97 7.08 5.38
Fund with Sales Charge (%) (POP) -3.17 2.78 2.80 6.47 4.95
Blended Benchmark (%) 2.39 5.30 5.54 8.61 5.74
MSCI All Country World Index (%) 2.64 6.70 7.03 9.74 6.24
Bloomberg Barclays Multiverse Index (%) 3.84 3.71 3.63 2.96 3.86

After-Tax Average Annual Total Returns [further-information] As of 08/31/2020

Month EndAs of 08/31/2020 1 YR 3 YR 5 YR 10 YR
Fund without Sales Charge (%) (NAV) Before Shares Sold 8.60 4.91 5.04 6.35
Fund without Sales Charge (%) (NAV) After Shares Sold 6.44 4.52 4.57 5.74
Fund with Sales Charge (%) (POP) Before Shares Sold 2.63 2.97 3.85 5.75
Fund with Sales Charge (%) (POP) After Shares Sold 2.83 3.00 3.62 5.23
Quarter EndAs of 06/30/2020 1 YR 3 YR 5 YR 10 YR
Fund without Sales Charge (%) (NAV) Before Shares Sold 1.20 3.41 2.79 5.96
Fund without Sales Charge (%) (NAV) After Shares Sold 2.06 3.39 2.82 5.45
Fund with Sales Charge (%) (POP) Before Shares Sold -4.40 1.48 1.63 5.36
Fund with Sales Charge (%) (POP) After Shares Sold -1.34 1.88 1.90 4.93

Calendar Year Returns

Performance data quoted represents past performance, which does not guarantee future results. Current performance may differ from figures shown. Investment return and principal value will fluctuate with market conditions, and you may have a gain or a loss when you sell your shares.
2019 2018 2017 2016 2015 2014 2013 2012 2011 2010
Fund without Sales Charge (%) (NAV) 16.85 -5.46 14.95 2.96 -2.08 4.39 20.18 10.30 -2.86 14.14
Fund with Sales Charge (%) (POP) 10.43 -10.63 8.35 -2.98 -7.68 -1.62 13.24 3.99 -8.42 7.60
Blended Benchmark (%) 18.51 -5.48 17.33 6.38 -1.99 7.05 20.25 13.02 0.25 11.48
MSCI All Country World Index (%) 27.30 -8.93 24.62 8.49 -1.84 4.71 23.44 16.80 -6.86 13.21
Bloomberg Barclays Multiverse Index (%) 7.13 -1.36 7.69 2.84 -3.29 0.47 -2.19 4.84 5.55 5.84

Cumulative Total Returns [further-information] As of 08/31/2020

Performance data quoted represents past performance, which does not guarantee future results. Current performance may differ from figures shown. Investment return and principal value will fluctuate with market conditions, and you may have a gain or a loss when you sell your shares.
Month EndAs of 08/31/2020 3 Month YTD 1 Yr 3 Yr 5 Yr 10 Yr Since Inception since 08/01/2006
Fund without Sales Charge (%) (NAV) 8.24 4.22 9.99 19.99 35.37 105.72 121.24
Fund with Sales Charge (%) (POP) 2.26 -1.55 3.95 13.43 27.90 94.45 109.11
Blended Benchmark (%) 10.31 4.33 11.28 22.56 47.05 139.37 134.83
MSCI All Country World Index (%) 15.44 5.12 17.12 31.52 67.04 171.23 159.58
Bloomberg Barclays Multiverse Index (%) 4.13 5.77 5.44 12.06 23.09 31.70 74.74
Quarter EndAs of 06/30/2020 3 Month YTD 1 Yr 3 Yr 5 Yr 10 Yr Since Inception since 08/01/2006
Fund without Sales Charge (%) (NAV) 11.64 -2.34 2.50 14.91 21.49 98.21 107.33
Fund with Sales Charge (%) (POP) 5.50 -7.74 -3.17 8.58 14.79 87.26 95.96
Blended Benchmark (%) 11.67 -3.42 2.39 16.77 30.94 128.39 117.38
MSCI All Country World Index (%) 19.39 -5.99 2.64 21.48 40.47 153.31 132.15
Bloomberg Barclays Multiverse Index (%) 3.68 2.53 3.84 11.57 19.52 33.85 69.39

MODERN PORTFOLIO THEORY (MPT) STATISTICSAs of 08/31/2020 (updated monthly)

3 YR 5 YR 10 YR
Standard Deviation (Fund) 10.19 9.16 9.33
Standard Deviation (Blended Benchmark) 10.41 9.24 9.18
Alpha -0.52 -1.41 -1.37
Beta 0.96 0.96 0.99
Sharpe Ratio 0.46 0.56 0.74
Information Ratio -0.41 -0.83 -0.72
Tracking Error 1.83 2.14 2.28
R-Squared 0.97 0.95 0.94

ADDITIONAL RISK STATISTICSAs of 08/31/2020 (updated monthly)

3 YR 5 YR 10 YR
Correlation Coefficient 0.98 0.97 0.97
Beta Bull 0.89 0.93 1.01
Beta Bear 1.00 1.06 1.11
Bull Bear Capture Ratio 0.95 0.89 0.91
% of Positive Months 75.00 75.00 68.33
Gains/Losses 1.65 1.74 1.88
Maximum Drawdown
12.65 12.65 14.37

SALES CHARGE, EXPENSES & FEES As of 05/01/2020 (updated annually)

Gross Expense Ratio 1.17%
Net Expense Ratio [further-information] 0.70%
Max Initial Sales Charge 5.50%
CDSC

Volatility Measures [further-information] As of 08/31/2020 Updated Monthly, based on a 3-year period

Beta 0.96
Alpha -0.52
Sharpe Ratio 0.46
R-Squared 0.97
Standard Deviation 10.19

Benchmarks

A benchmark is a comparable broad-based index that can be used to evaluate a fund's performance.

  • Blended Benchmark
  • MSCI All Country World Index
  • Bloomberg Barclays Multiverse Index
The fund's blended benchmark is an allocation of 59% MSCI AC World Index and 41% Bloomberg Barclays Multiverse Index. Allocations for the fund's Blended Benchmark reflect or map the fund's current target asset class allocations and may not be representative of the fund's historical asset class allocations. Performance for the Blended Benchmark is based on an asset class allocation that matches the glide path of the Franklin LifeSmart Funds over time. Prior to May 1, 2019, the Blended Benchmark had an allocation to FTSE 3-Month U.S. T-Bill Index. Such changes impact performance.