Franklin Tennessee Municipal Bond Fund



Dividend Distributions Further Information This fund is a Daily Accrual fund Monthly
Capital Gain Distributions December

Rates and Yields Further Information

Distribution rate As of 02/26/2020 (updated daily)
With Sales Charge 2.68%
At Net Asset Value 2.68%
Taxable Equivalent Distribution Rate As of 02/26/2020 (updated daily) 4.60%
30-Day Standardized yield As of 01/31/2020 (updated monthly) 1.32%
Taxable Equivalent Yield As of 01/31/2020 (updated monthly) 2.27%

Year-to-Date Distributions Per Share As of 02/26/2020 (updated daily)

Distribution amounts may be estimates Further Information

Month Amount ($) Record Date Ex-Date Payable Date Reinvestment Date Reinvestment Price ($)
Total Distributions Per Share 0.025092 Daily Daily Jan 31 Jan 31 11.16
Tax-Exempt Income 0.025092 Daily Daily Jan 31 Jan 31 11.16

All fund distributions will vary depending upon current market conditions, and past distributions are not indicative of future trends.