FMRAX

Franklin Mutual Recovery Fund

This fund or share class has been liquidated or merged.

PRICE AND YTD RETURN As of 08/27/2015

NAV N/A
POP N/A
YTD Total return at Nav N/A
1 YEAR RETURN N/A
5 YEAR RETURN N/A
10 YEAR RETURN N/A

KEY STATS

Investment Category
Distributions Annually
CUSIP 354 02P 203
Fund Number 471
Inception Date Jun 02, 2003
Total Net Assets N/A
Distribution Rate at NAV N/A
30-Day Standardized yield N/A

SALES CHARGE, EXPENSES, & FEES

Gross Expense Ratio N/A
Net Expense Ratio N/A
Max Initial Sales Charge 5.75%
CDSC 0.00%
12b-1 Fee 0.25%

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