Effective January 1, 2015, Franklin Growth Allocation Fund increased the percentage by which the portfolio manager may vary the Fund’s target allocations. For more information regarding this and other changes, please click here.
|Investment Category||Target Risk|
|CUSIP||354 72P 505|
|Inception Date||Dec 31, 1996|
|Total Net Assets (all share classes) As of 06/30/2016||$1,382.2 (M)|
|Distribution Rate at NAV||N/A|
|30-Day Standardized yield||—|
|Gross Expense Ratio||
|Net Expense Ratio||
|Max Initial Sales Charge||
The manager allocates each Fund's assets among the broad asset classes of equity and fixed income investments by investing in a distinctly-weighted combination of Franklin Templeton mutual funds (underlying funds), based on each underlying fund's predominant asset class.
Speak to your financial advisor about whether this fund is appropriate for you. If you don't have a financial advisor, request a referral.
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