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Franklin Managed Income Fund - Class A Regulatory Documents

Effective January 9, 2025, this fund reduced its Class A share NAV breakpoint from $1,000,000 to $250,000. If you have any questions, please contact your financial professional. Note: purchases of $250,000 or more in Class A shares will be subject to a 1% contingent deferred sales charge if sold within 18 months of purchase.

Prospectus

Summary Prospectus

Statement Of Additional Information

Annual Report

Annual Financial Statements And Other Information

Semi-Annual Report

Semi-Annual Financial Statements And Other Information

Fiscal Q1 Holdings

Fiscal Q3 Holdings