Equity

SBLGX ClearBridge Large Cap Growth Fund

  • Industry dominance. The fund primarily invests in established, large-cap companies with a history of dominance in their industry.
  • Diversified, long-term capital growth. The fund focuses on long-term capital growth through a well diversified portfolio which helps mitigate risk.
  • Emphasis on security selection. A bottom-up analysis identifies companies with the potential to grow market share and earnings.
NAV 1 $-0.13(-0.20%)
$66.18
As of 11/14/2025
YTD Total Returns At NAV 2
8.62%
As of 11/14/2025
Total Net Assets
$12.53B
As of 10/31/2025 (Updated Monthly)
Morningstar Overall Rating™ 3
As of 10/31/2025

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Overview

Fund Facts

Fund description

Seeks to invest primarily in established, large-cap companies with a long-term history of performance that are dominant in their industries. Seeks long-term capital growth in a portfolio that is diversified to help manage risk. Emphasizes security selection and fundamental, bottom-up analysis to identify companies with the potential to grow market share and earnings in the U.S. and overseas.

Benchmark
Russell 1000 Growth Index
Fund Inception Date
08/29/1997
Dividend Frequency, if any
Annually
Portfolio Turnover
16%

Sales Charges, Expenses & Fees

As of 04/01/2025
Gross Expense Ratio4
1.01%
Net Expense Ratio4,5
1.01%
Maximum Initial Charge
5.50%
CDSC6
1.00%
12b-1 Fee
0.25%

Identifiers

Ticker
SBLGX
Fund Number
7586
CUSIP Code
52469H826

Average Annual Total Returns

View performance section for additional info As of 10/31/2025

Class A

  • 10.38%1 Year
  • 24.60%3 Years
  • 12.59%5 Years
  • 13.85%10 Years
  • 10.17%Since Inception
    08/29/1997

Performance data quoted represents past performance, which does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance may be lower or higher than the figures shown.

Top Sectors

View portfolio section for additional info

As of 10/31/2025 Equity as a % of Total (Updated Monthly)

Information Technology45.05%
Consumer Discretionary13.90%
Communication Services11.66%
Industrials8.79%
Financials7.99%

Additional Fund Info

Share Class Inception Date
08/29/1997
Investment Style
Growth
Lipper Classification
Large-Cap Growth Funds
Morningstar Category
Large Growth

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Manager and Commentary

About the Team

ClearBridge Investments

ClearBridge Investments is a well-established global investment manager focusing on proprietary research and fundamental investing. With over 60 years of experience building portfolios for clients seeking income solutions, high active share or low-volatility, long-tenured portfolio managers provide strong leadership in a centralized investment structure.

Commentary Highlights

September 30, 2025
  • Markets: Equities surged in the third quarter, fueled by better-than-feared tariff outcomes, the passing of the One Big Beautiful Bill Act in July, anticipated interest rate cuts — the Federal Reserve cut 25 bps cut in September and signaled further easing — and robust corporate earnings, particularly in technology and the Magnificent Seven. The benchmark Russell 1000 Growth Index rose 10.5% for the quarter and is up 46.7% from its early April lows.
  • Contributors: Holdings in Microsoft, Taiwan Semiconductor, ASML and not holding Costco Wholesale. Stock selection in consumer staples.
  • Detractors: Holdings in Netflix, Intuit and Intuitive Surgical, underweights to Apple and Alphabet. Stock selection in information technology (IT), communication services and health care.
  • Outlook: Looking ahead to 2026, we are optimistic but also cautious. While AI winners continue to dominate market attention, the Fund is prepared for a range of scenarios, including stagflation or a rate-cutting rally.

ClearBridge Investments logo
[Margaret Vitranos avatar]

Managed Fund Since 2012

[Erica Furfaros avatar]

Managed Fund Since 2024

Portfolio Manager Profile
Years of Experience
Manager Location

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Performance

Risk Measures

As of 10/31/2025

Class A - Without Sales Charge (NAV)
Measured against: Russell 1000 Growth Index
Statistics
Alpha (%)
Beta
R-Squared
Historical Tracking Error
Information Ratio
Upside Capture Ratio
Downside Capture Ratio
Standard Deviation (%)
Class A
Sharpe Ratio (%)
Class A

Performance data quoted represents past performance, which does not guarantee future results. Current performance may be lower or higher than the figures shown. Principal value and investment returns will fluctuate, and investors' shares, when redeemed, may be worth more or less than the original cost. Performance would have been lower if fees had not been waived in various periods. Total returns assume the reinvestment of all distributions and the deduction of all Fund expenses. Returns with sales charge reflect a deduction of the stated maximum sales charge. Returns without sales charge would have been lower had sales charges been reflected. An investor cannot invest directly in an index, and unmanaged index returns do not reflect any fees, expenses or sales charges. Returns for periods of less than one year are not annualized. 

See the risks and other important information.

Ratings 3

Morningstar logo
Overall Morningstar Rating
Overall Morningstar Rating: 3 out of 5 stars  
As of 10/31/2025
3 Years
3 Years: 3 out of 5 stars  
1015 Funds in category
5 Years
5 Years: 3 out of 5 stars  
954 Funds in category
10 Years
10 Years: 3 out of 5 stars  
762 Funds in category
Rating Category
Large Growth

The fund's overall Morningstar Rating measures risk-adjusted returns and is derived from a weighted average of the performance figures associated with its 3-, 5- and 10-year (if applicable) rating metrics. 

Morningstar Style Box
As of 10/31/2025
Current Historical
Large
Medium
Small
Value Blend Growth
Style
Size

Source: Morningstar®. The style box reveals a fund's investment style. For equity funds, the vertical axis shows the market capitalization of the long stocks owned, and the horizontal axis shows the investment style (value, blend, or growth). For fixed income funds, the vertical axis shows the credit quality based on credit ratings and the horizontal axis shows interest-rate sensitivity as measured by effective duration. Placement is determined by fund portfolio holding figures most recently entered into Morningstar's database and corresponding market conditions. Shaded areas show the past 3 years of quarterly data. Past performance does not guarantee future results.

©2025 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

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Portfolio

Assets

As of10/31/2025 (Updated Monthly)

Total Net Assets
$12.53 Billion

Positions

As of 10/31/2025 (Updated Monthly)

Number of Holdings
Fund
43
Benchmark
391

Portfolio Statistics

As of 10/31/2025 (Updated Monthly)

Price to Earnings (12-Month Forward)
Fund
33.59x
Benchmark
35.18x
Median Market Cap (USD)
Fund
$746.07 Billion
Benchmark
$1,635.96 Billion
Weighted Average Market Capitalization (USD)
Fund
$1,757.63 Billion
Benchmark
$2,119.79 Billion
Price to Book
Fund
16.17x
Benchmark
20.86x
Portfolio Turnover
Fund
16.00%
Benchmark
Price to Earnings (12-Month Trailing)
Fund
39.71x
Benchmark
42.16x

Market Capitalization Allocation

As of 10/31/2025 % of Equity (Updated Monthly)

Market Capitalization Fund
10-50 Billion 3.27%
50-250 Billion 35.37%
250-500 Billion 5.39%
>500 Billion 55.96%

Chart

Bar chart with 4 bars.
The chart has 1 X axis displaying categories.
The chart has 1 Y axis displaying values. Data ranges from 3.27225 to 55.96282.
End of interactive chart.

Holdings

As of 10/31/2025 (Updated Monthly)

NVIDIA Corp.
Microsoft Corp
Amazon.Com, Inc.
Meta Platforms Inc. (FB)
Apple Inc.
Visa Inc
Netflix Inc
Palo Alto Networks Inc.
Tesla Motors Inc.
Alphabet Inc. Class A

Portfolio holdings are based on the total portfolio and are subject to change at any time. Holdings are provided for informational purposes only and should not be construed as a recommendation to purchase or sell any security.

For the latest updates on portfolio holdings, if any, please refer to the Documents section below. 

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Distributions & Tax

Federal ID Number 133947607

For information on tax years prior to 2008, please contact us

These amounts represent distributions paid by the fund, foreign taxes passed through (if any), and other distribution characteristics for the calendar year selected. These amounts are reported to shareholders on Form 1099-DIV.

Distributions per Share ($)

Dec 11

Supplemental Tax Information

Foreign Source Income
Foreign Source Qualified Dividends
Direct U.S. Government Obligations
Specified Private Activity Bond Interest
Dividends Received Deduction
100.00%
Section 163(j)
Indiana Resident Taxable Income
Utah Resident Taxable Income

Franklin Templeton and its specialized investment managers and its employees are not in the business of providing tax or legal advice to taxpayers. These materials and any tax-related statements are not intended or written to be used, and cannot be used or relied upon, by any such taxpayer for the purpose of avoiding tax penalties or complying with any applicable tax laws or regulations. Tax-related statements, if any, may have been written in connection with the promotion or marketing of the transaction(s) or matter(s) addressed by these materials, to the extent allowed by applicable law. Each investor’s tax situation is different, and is based on an individual’s tax bracket, type of account used for investment and other factors. Any such taxpayer should seek advice based on the taxpayer's particular circumstances from an independent tax advisor.

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Pricing

Pricing History

As of 11/14/2025 (Updated Daily)

Chart

Line chart with 7117 data points.
The chart has 1 X axis displaying Time. Data ranges from 1997-08-29 00:00:00 to 2025-11-14 00:00:00.
The chart has 1 Y axis displaying [products.performance-value]. Data ranges from 11.31 to 74.89.
End of interactive chart.

Daily Fund Prices

As of 11/14/2025

Share Prices

As of 11/14/2025

NAV  1(Net Asset Value)
$66.18
NAV Change  1
$-0.13
NAV Change (%)  1
-0.20%
POP  7(Public Offering Price)
$70.03

52-Week Range

Highest NAV
$69.40
Lowest NAV
$51.69

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Documents

Fund Literature
Name Download Add to Cart
Factsheet - ClearBridge Large Cap Growth FundDownload Document
Product Commentary - ClearBridge Large Cap Growth FundDownload Document
Regulatory Documents
Name Download Add to Cart
Annual Report - ClearBridge Large Cap Growth Fund - Class ADownload Document
Annual Financial Statements and Other Information - ClearBridge Large Cap Growth FundDownload Document
Semi-Annual Report - ClearBridge Large Cap Growth Fund - Class ADownload Document
Semi-Annual Financial Statements and Other Information - ClearBridge Large Cap Growth FundDownload Document
Prospectus - ClearBridge Large Cap Growth FundDownload Document
Summary Prospectus - ClearBridge Large Cap Growth FundDownload Document
Statement of Additional Information - ClearBridge Large Cap Growth FundMailed hardcopies unavailable.Download Document
Fiscal Q1 Holdings - ClearBridge Large Cap Growth FundMailed hardcopies unavailable.Download Document
Fiscal Q3 Holdings - ClearBridge Large Cap Growth FundMailed hardcopies unavailable.Download Document

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Risks

All investments involve risks, including possible loss of principal. Equity securities are subject to price fluctuation and possible loss of principal. Short selling is a speculative strategy. Unlike the possible loss on a security that is purchased, there is no limit on the amount of loss on an appreciating security that is sold short. The investment style may become out of favor, which may have a negative impact on performance. Diversification does not guarantee a profit or protect against a loss. Active management does not ensure gains or protect against market declines. The manager may consider environmental, social and governance (ESG) criteria in the research or investment process; however, ESG considerations may not be a determinative factor in security selection. In addition, the manager may not assess every investment for ESG criteria, and not every ESG factor may be identified or evaluated. These and other risks are discussed in the fund’s prospectus.

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Most funds offer multiple share classes. Share classes are subject to different fees and expenses, which will affect their performance. 

Certain share classes are only offered to eligible investors as stated in the prospectus. Different minimums may apply to clients of certain service agents. All classes of shares are not available through all distribution channels. See the Fund's prospectus for additional information.

Franklin Distributors, LLC. Member FINRA, SIPCAll entities mentioned are Franklin Templeton affiliated companies. Investment Products: NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE.
Reports and other information about the funds are available on the EDGAR Database on the SEC's Internet site at www.sec.gov.

You need Adobe Acrobat Reader to view and print PDF documents. Download a free version from Adobe's website.

Important data provider notices and terms available at www.franklintempletondatasources.com.

Performance data quoted represents past performance, which does not guarantee future results. 

CFA® and Chartered Financial Analyst® are trademarks owned by CFA Institute.

Indexes are unmanaged and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges. 

The Russell 1000 Growth Index measures the performance of the large-cap growth segment of the U.S. equity universe.
Source: FTSE.

Investors should carefully consider a fund's investment goals, risks, sales charges and expenses before investing. The prospectus contains this and other information. Please read the prospectus carefully before investing or sending money.

Footnotes

  1. Net Asset Value - the amount per share you would receive if you sold shares that day. NAV Change indicates a change in the Net Asset Value from the previous business day.

  2. Figures are aggregate total return figures, have not been annualized and represent the change in value of an investment over the period indicated.

  3. The Morningstar Rating™ for funds, or “star rating”, is calculated for managed products with at least a three-year history, and subject to change monthly. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. It is calculated based on a Morningstar Risk Adjusted Return measure that accounts for variation in a managed product’s monthly excess performance, placing more emphasis on downward variations and rewarding consistent performance. The top 10% of products in each product category receive 5 stars, the next 22.5% receive 4 stars, the next 35% receive 3 stars, the next 22.5% receive 2 stars, and the bottom 10% receive 1 star. The Overall Morningstar Rating is derived from a weighted average of the performance figures associated with its three-, five-, and 10-year (if applicable) Morningstar Rating metrics. The weights are: 100% three-year rating for 36-59 months of total return, 60% five-year rating/40% three-year rating for 60-119 months of total returns, and 50% 10-year rating/30% five-year rating/20% three-year rating for 120 or more months of total return. While the 10-year overall star rating formula seems to give the most weight to the 10-year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods. Ratings do not take into account the effects of sales charges and loads. Morningstar Rating is for the specified share class(es) only; other classes may have different performance characteristics. 
    ©2025 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

  4. Gross Expense Ratio reflects the total annual operating expenses for the share class shown, prior to the deduction of any waiver or reimbursement. Actual expenses may be higher and may impact portfolio returns. Net Expense Ratio reflects total expenses after any fee waivers, implemented expense caps or reimbursements. If a fund has contractual fee waivers, expense caps and/or reimbursements, the expiration date can be found by clicking on the information button next to the net expense ratio. Additional amounts may be voluntarily waived and/or reimbursed and may be modified or discontinued at any time without notice. Expense ratios are as of the most recent prospectus or annual report.

  5. Net Expense Ratio represents the expense ratio applicable to investors. 

  6. For net asset value (NAV) purchases, a 1% contingent deferred sales charge (CDSC) may apply to shares redeemed within 18 months.

  7. Public Offering Price – the purchase price for each share of the fund on a given day.  It includes the maximum initial sales charge, if any.