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  • Fund Type: Open-End Fund
  • Objective: Govt/Agency-Short/Intermed
  • Asset Class: Debt
  • Geographic Focus: U.S.

Franklin Limited Maturity U.S. Government Securities Fund

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FSUAX:US

10.14 USD 0.01 0.10%

As of 09:29:30 ET on 05/17/2013.

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Snapshot for Franklin Limited Maturity U.S. Government Securities Fund (FSUAX)

Year To Date: -0.15% 3-Month: -0.04% 3-Year: +1.24% 52-Week Range: 10.14 - 10.35
1-Month: -0.10% 1-Year: +0.12% 5-Year: +2.73% Beta vs LUATTRUU: 0.40

Mutual Fund Chart for FSUAX

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  • FSUAX:US 10.14
  • 1M
  • 1Y
Interactive FSUAX Chart

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Fund Profile & Information for FSUAX

Franklin Limited Maturity U.S. Government Securities Fund is an open-end fund incorporated in the USA. The Fund's objective is to provide a high level of current income. The Fund invests most of its assets in securities issued or guaranteed by the U.S. government, with maturities between two and five years, and with an emphasis on mortgage securities.

Inception Date: 04-15-1987 Telephone: 1-800-632-2301
Managers: KENT BURNS / PAUL VARUNOK
Web Site: www.franklintempleton.com

Fundamentals for FSUAX

NAV (on 2013-05-17) 10.14
Assets (M) (on 2013-04-30) 569.26
Fund Leveraged N
Minimum Investment 1,000.00
Minimum Subsequent Investment -

Dividends for FSUAX

Dividend Type Income
Dividend Frequency Monthly
Last Dividend Net (on 2013-04-30) 0.02
Dividend Yield (ttm) 2.30

Fees & Expenses for FSUAX

Front Load 0.00
Back Load 0.00
Current Mgmt Fee 0.49
Redemption Fee 0.00
12b1 Fee 0.00
Expense Ratio 0.67

Top Fund Holdings for FSUAX

Filing Date: 03/28/2013
Name Position Value % of Total
T 4 02/15/15 22,000 23,543,432 4.089%
T 2 ⅜ 10/31/14 20,000 20,679,700 3.591%
T 4 ½ 11/15/15 16,000 17,745,008 3.082%
FN AE1806 32,884 17,501,378 3.039%
TII 0 ⅝ 04/15/13 16,332 16,399,750 2.848%
TII 1 ¼ 04/15/14 15,768 16,297,506 2.830%
T 2 ⅛ 05/31/15 15,600 16,224,000 2.818%
T 4 ⅛ 05/15/15 15,000 16,221,090 2.817%
T 2 ⅝ 12/31/14 15,000 15,626,370 2.714%
FN AL0367 18,192 13,818,775 2.400%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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