Effective at the close of market on May 20, 2016, Franklin Large Cap Value Fund was closed and was reorganized into Franklin Rising Dividends Fund. For more information on these changes, please contact your financial advisor or call Franklin Templeton Investor Services at (800) 632-2301.
|CUSIP||355 148 701|
|Inception Date||Jun 01, 2000|
|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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