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Franklin Conservative Allocation Fund

Fund Category: Asset AllocationGo to Prices & Performance page
showing this category of funds.

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Symbol FTCIX
CUSIP 354 72P 109
Fund Number 484
Inception Date1 Dec 31, 1996
Distributions Quarterly
Total Net Assets
(all share classes)
As of 10/31/2015

As of  11/24/2015

NAV2 $14.05  
NAV Change $0.00  
POP3 $14.91  
YTD Total Return at NAV -0.47%
Distribution Rate at NAV
30-day Standardized Yield

Average Annual Total Returns4
As of Quarter End 09/30/2015

w/ Sales Charge w/o Sales Charge
1 Yr -8.85% -3.29%
5 Yrs 2.84% 4.06%
10 Yrs 4.09% 4.71%
Life 5.32% 5.65%

Expense Ratio and Sales Charge As of 05/01/2015 (updated annually)

Gross Expense Ratio5,6 1.27%
Net Expense Ratio5 1.27%
Max Initial Sales Charge 5.75%
CDSC 0.00%
12b-1 Fee 0.25%

Fund Description

Strategy Statement
Portfolio Managers
T. Anthony Coffey
"For the Franklin Templeton Allocation Funds, we carefully analyze and select underlying Franklin Templeton funds utilizing a variety of quantitative and qualitative measures."

Strategy, Benefits, Results


  • The fund is designed to seek out the maximum long-term returns consistent with a lower level of risk.
  • The fund's manager will actively allocate the fund's assets to equity and fixed income investments, seeking to construct portfolios the fund’s manager believes are the best combinations of Franklin, Templeton and Franklin Mutual Series funds to meet the fund’s goals.
  • Evaluating multiple factors such as regional exposure, market capitalizations, investment style, credit quality and duration, the objective is to create a portfolio of funds displaying a history of more consistent performance over the long term with low relative correlations among themselves.


  • Single-Fund Solution. Access to our world class investment management groups – Franklin, Templeton and Franklin Mutual Series – in one investment vehicle.
  • Diversification. Broad range of underlying funds provides diversification across style, sector and region.


Hypothetical $10K Investment

Hypothetical $10K Investment

Investing in the Fund

What Are the Risks?
  • While an asset allocation plan can be a valuable tool to help reduce overall volatility, all investments involve risks, including possible loss of principal.
  • Typically, the more aggressive the investment, or the greater the potential return, the more risk involved.
  • Generally, investors should be comfortable with some fluctuation in the value of their investments, especially over the short term.
  • Stock prices fluctuate, sometimes rapidly and dramatically, due to factors affecting individual companies, particular industries or sectors, or general market conditions.
  • Bond prices generally move in the opposite direction of interest rates. Thus, as the prices of bonds in a fund adjust to a rise in interest rates, that fund’s share price may decline.
  • Foreign investing carries additional risks such as currency and market volatility and political or social instability, risks which are heightened in developing countries.
  • Because this fund invests in underlying funds, which may engage in a variety of investment strategies involving certain risks, Franklin Conservative Allocation Fund may be subject to those same risks.
  • These risks are described in the fund’s prospectus. Investors should consult their financial advisor for help selecting the appropriate fund of funds, or fund combination, based on an evaluation of their investment objectives and risk tolerance.

Minimum Investment


How Financial Advisors Help You

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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Important Legal Information


For US residents only.