Effective the close of market on January 14, 2016, Franklin Global Allocation Fund was liquidated. Please contact your financial advisor or call Investor Services at (800) 632-2301 for more information.
As of November 12, 2015, Class R shares of Franklin Global Allocation have been liquidated. The Class A, C and Advisor shares are scheduled to be liquidated on or about January 14, 2016, but may occur earlier or later if circumstances should change. Please contact your financial advisor or call Franklin Templeton Investor Services at (800) 632-2301 for more information on exchanging or redeeming your investment.
|Investment Category||Tactical Asset Allocation|
|CUSIP||353 61F 774|
|Inception Date||Sep 01, 2011|
|Total Net Assets||N/A|
|Distribution Rate at NAV||N/A|
|30-Day Standardized yield||N/A|
|Gross Expense Ratio||N/A|
|Net Expense Ratio||N/A|
|Max Initial Sales Charge||
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