To view Puerto Rico holdings information as of April 30, 2016, please click here.
Effective at the close of market on April 29, 2016, Franklin Double Tax-Free Income Fund was reorganized into Franklin High Yield Tax-Free Income Fund. For more information on the fund reorganization, please contact your financial advisor or call Franklin Templeton Investor Services at (800) 632-2301.
In March 2016, Franklin Double Tax-Free Income Fund will adjust its dividends as follows: Class A from $0.0337 to $0.0367 per share; Class C from $0.0295 to $0.0323 per share and Advisor Class from $0.0345 to $0.0374 per share. Dividends vary based on the fund's income. Past dividends are not indicative of future trends.
|Investment Category||Municipal Bonds|
|CUSIP||354 723 603|
|Inception Date||Apr 03, 1985|
|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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