Franklin Templeton: Franklin Universal Trust Reports Asset Allocation
SAN MATEO, CA--(Marketwire - October 2, 2009) - Franklin Universal Trust (
Franklin Advisers, Inc., is a wholly owned subsidiary of Franklin Resources, Inc. (
FRANKLIN UNIVERSAL TRUST ASSET ALLOCATION at August 31, 2009 =========================================================================== MARKET PERCENTAGE SECURITY VALUE OF FUND (1) ----------------------------- ------------- ------------ High Yield and Investment Grade Corporate Bonds & Preferred $ 136,126,685 72.0% Utilities Common and Preferred Stocks $ 49,503,786 26.2% Other Investments $ 914,000 0.5% Cash & Other Net Assets $ 2,522,285 1.3% ------------- ------------ Total Investments (1,2) $ 189,066,756 100.0% =========================================================================== MARKET PERCENTAGE 10 LARGEST HOLDINGS BY ISSUER VALUE OF FUND (1) ----------------------------- ------------- ------------ FPL Group Inc. $ 4,213,500 2.2% Entergy Corp. $ 3,950,000 2.1% Ford Motor Credit Co. LLC $ 3,841,638 2.0% Southern Co. $ 3,744,000 2.0% Exelon Corp. $ 3,501,400 1.9% Charter Communications Holdings $ 3,464,750 1.8% Dominion Resources Inc. $ 3,308,000 1.7% HCA Inc. $ 3,251,638 1.7% Centerpoint Energy Inc. $ 2,809,840 1.5% Ameren Corp. $ 2,599,072 1.4% ------------- ------------ Total (2) $ 34,683,838 18.3% =========================================================================== % OF GROSS ASSETS IN DEFAULT: MARKET PERCENTAGE ISSUER (3) VALUE OF FUND (1) ----------------------------- ------------- ------------ Atherton Franchise $ 7,216 0.0% Canwest Media Inc. $ 1,095,000 0.6% CCH I LLC $ 116,000 0.1% Charter Communications Holdings $ 3,348,750 1.8% Dex Media $ 634,175 0.3% Fontainebleau Las Vegas $ 64,000 0.0% Idearc Inc. $ 146,250 0.1% Nortel Networks $ 935,000 0.5% Station Casinos Inc. $ 399,875 0.2% ------------- ------------ Total (2) $ 6,746,266 3.6% Note: The value of these defaulted securities is reflected in the Fund's net asset value. Percentages are rounded. =========================================================================== Number of positions 157 NAV per share $ 5.85 (4) Market price per share $ 5.08 (4) Number of shares outstanding 25,131,894 Asset coverage (Investment Company Act) 450.2% Total net assets $147,066,756 (1) Percentage of total investments of the Fund. Total investments of the Fund include long-term and short-term investments and other net assets, excluding long-term debt issued by the Fund. (2) Total figures may not represent exact sum of items as a result of rounding. (3) Includes issuers that have defaulted or have missed scheduled bond payments. (4) These figures are rounded to two decimal places.