Franklin Limited Duration Income Trust (“FTF” or the “Fund”) Announces Notification of Sources of Distributions
Franklin Duration Income Trust (FTF) has announced its monthly distribution details for March 31, 2025. The Fund maintains a managed distribution plan with fixed monthly payments of $0.0615 per share, authorized by its Board of Trustees.
The Fund aims to generate these distributions primarily from net ordinary income and short-term capital gains, aligned with its investment strategy and risk profile. When sufficient distributable income is unavailable monthly, FTF will distribute long-term capital gains or return capital to maintain its rate. The Fund estimates it has distributed more than its income and realized capital gains, indicating some distributions may represent a return of capital.
Franklin Templeton, the parent company, manages $1.58 trillion in assets as of February 28, 2025, with over 1,500 investment professionals operating globally through its specialist investment managers.
Franklin Duration Income Trust (FTF) ha annunciato i dettagli della sua distribuzione mensile per il 31 marzo 2025. Il Fondo mantiene un piano di distribuzione gestito con pagamenti mensili fissi di $0,0615 per azione, autorizzato dal suo Consiglio di Amministrazione.
Il Fondo mira a generare queste distribuzioni principalmente da reddito ordinario netto e guadagni in conto capitale a breve termine, in linea con la sua strategia di investimento e il profilo di rischio. Quando non è disponibile un reddito distribuibile sufficiente mensilmente, FTF distribuirà guadagni in conto capitale a lungo termine o restituirà capitale per mantenere il suo tasso. Il Fondo stima di aver distribuito più del suo reddito e dei guadagni in conto capitale realizzati, indicando che alcune distribuzioni possono rappresentare un ritorno di capitale.
Franklin Templeton, la società madre, gestisce $1,58 trilioni in attivi al 28 febbraio 2025, con oltre 1.500 professionisti degli investimenti che operano a livello globale attraverso i suoi gestori di investimento specializzati.
Franklin Duration Income Trust (FTF) ha anunciado los detalles de su distribución mensual para el 31 de marzo de 2025. El Fondo mantiene un plan de distribución gestionado con pagos mensuales fijos de $0.0615 por acción, autorizado por su Junta de Fideicomisarios.
El Fondo tiene como objetivo generar estas distribuciones principalmente a partir de ingresos ordinarios netos y ganancias de capital a corto plazo, alineándose con su estrategia de inversión y perfil de riesgo. Cuando no hay suficientes ingresos distribuibles disponibles mensualmente, FTF distribuirá ganancias de capital a largo plazo o devolverá capital para mantener su tasa. El Fondo estima que ha distribuido más de sus ingresos y ganancias de capital realizadas, lo que indica que algunas distribuciones pueden representar un retorno de capital.
Franklin Templeton, la empresa matriz, gestiona $1.58 billones en activos a partir del 28 de febrero de 2025, con más de 1,500 profesionales de inversión operando a nivel global a través de sus gestores de inversión especializados.
프랭클린 듀레이션 인컴 트러스트 (FTF)는 2025년 3월 31일에 대한 월간 배당금 세부 사항을 발표했습니다. 이 펀드는 이사회에서 승인한 주당 $0.0615의 고정 월 지급금으로 관리 배당 계획을 유지합니다.
이 펀드는 주로 순정기 수익과 단기 자본 이익으로 이러한 배당금을 생성하는 것을 목표로 하며, 이는 투자 전략과 위험 프로필에 부합합니다. 매월 충분한 배당 가능 수익이 없을 경우, FTF는 장기 자본 이익을 배분하거나 자본을 반환하여 비율을 유지합니다. 이 펀드는 수익과 실현된 자본 이익보다 더 많은 배당금을 지급했다고 추정하며, 이는 일부 배당금이 자본 반환을 나타낼 수 있음을 시사합니다.
모회사인 프랭클린 템플턴은 2025년 2월 28일 기준으로 $1.58 조의 자산을 관리하며, 1,500명 이상의 투자 전문가가 전문 투자 관리자를 통해 전 세계에서 활동하고 있습니다.
Franklin Duration Income Trust (FTF) a annoncé les détails de sa distribution mensuelle pour le 31 mars 2025. Le Fonds maintient un plan de distribution géré avec des paiements mensuels fixes de 0,0615 $ par action, autorisé par son Conseil d'Administration.
Le Fonds vise à générer ces distributions principalement à partir de revenus ordinaires nets et de gains en capital à court terme, en accord avec sa stratégie d'investissement et son profil de risque. Lorsque des revenus distribuables suffisants ne sont pas disponibles chaque mois, FTF distribuera des gains en capital à long terme ou restituera du capital pour maintenir son taux. Le Fonds estime avoir distribué plus que ses revenus et gains en capital réalisés, ce qui indique que certaines distributions peuvent représenter un retour de capital.
Franklin Templeton, la société mère, gère 1,58 trillion $ d'actifs au 28 février 2025, avec plus de 1 500 professionnels de l'investissement opérant à l'échelle mondiale à travers ses gestionnaires d'investissement spécialisés.
Franklin Duration Income Trust (FTF) hat die Einzelheiten seiner monatlichen Ausschüttung für den 31. März 2025 bekannt gegeben. Der Fonds verfolgt einen verwalteten Ausschüttungsplan mit festen monatlichen Zahlungen von 0,0615 $ pro Aktie, genehmigt von seinem Vorstand.
Der Fonds zielt darauf ab, diese Ausschüttungen hauptsächlich aus netto ordentlichen Einkünften und kurzfristigen Kapitalgewinnen zu generieren, was mit seiner Anlagestrategie und Risikoprofil übereinstimmt. Wenn monatlich nicht genügend ausschüttungsfähiges Einkommen verfügbar ist, wird FTF langfristige Kapitalgewinne ausschütten oder Kapital zurückgeben, um seine Rate aufrechtzuerhalten. Der Fonds schätzt, dass er mehr ausgeschüttet hat als seine Einkünfte und realisierten Kapitalgewinne, was darauf hindeutet, dass einige Ausschüttungen eine Rückzahlung von Kapital darstellen könnten.
Die Muttergesellschaft Franklin Templeton verwaltet zum 28. Februar 2025 1,58 Billionen $ an Vermögenswerten, wobei über 1.500 Anlageprofis weltweit über ihre spezialisierten Anlageverwalter tätig sind.
- Fixed monthly distribution plan provides consistent income to shareholders
- Parent company Franklin Templeton manages substantial $1.58 trillion in assets
- Global presence with over 1,500 investment professionals
- Fund is distributing more than its income and realized capital gains
- Portions of distributions may represent return of capital rather than actual earnings
- No guarantee the distribution plan will successfully narrow the fund's market price to NAV discount
Notification of Sources of Distributions Pursuant to Section 19(a) of the Investment Company Act of 1940 |
The Fund’s estimated sources of the distribution to be paid on March 31, 2025 and for the fiscal year 2025 year-to-date are as follows:
Estimated Allocations for March Monthly Distribution as of February 28, 2025:
Distribution Per Share |
Net Investment Income |
Net Realized Short-Term Capital Gains |
Net Realized Long-Term Capital Gains |
Return of Capital |
|
|
|
|
|
Cumulative Estimated Allocations fiscal year-to-date as of February 28, 2025, for the fiscal year ending December 31, 2025:
Distribution Per Share |
Net Investment Income |
Net Realized Short-Term Capital Gains |
Net Realized Long-Term Capital Gains |
Return of Capital |
|
|
|
|
|
Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of the current distribution or from the terms of the Fund’s Plan. FTF estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of the FTF distribution to shareholders may be a return of capital. A return of capital may occur, for example, when some or all of the money that a shareholder invested in a Fund is paid back to them. A return of capital distribution does not necessarily reflect FTF’s investment performance and should not be confused with ‘yield’ or ‘income’. The amounts and sources of distributions reported herein are only estimates and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send a Form 1099-DIV to shareholders for the calendar year that will describe how to report the Fund’s distributions for federal income tax purposes.
Average Annual Total Return (in relation to the change in net asset value (NAV) for the 5-year period ended on 2/28/2025)1 |
Annualized Distribution Rate (as a percentage of NAV for the current fiscal period through 2/28/2025)2 |
Cumulative Total Return (in relation to the change in NAV for the fiscal period through 2/28/2025)3 |
Cumulative Fiscal Year-To-Date Distribution Rate (as a percentage of NAV as of 2/28/2025)4 |
|
|
|
|
Fund Performance and Distribution Rate Information:
1. | Average Annual Total Return in relation to NAV represents the compound average of the Annual NAV Total Returns of the Fund for the five-year period ended through February 28, 2025. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year, assuming reinvestment of distributions paid. |
|
2. | The Annualized Distribution Rate is the current fiscal period’s distribution rate annualized as a percentage of the Fund’s NAV through February 28, 2025. |
|
3. | Cumulative Total Return is the percentage change in the Fund’s NAV from December 31, 2024 through February 28, 2025, assuming reinvestment of distributions paid. |
|
4. | The Cumulative Fiscal Year-To-Date Distribution Rate is the dollar value of distributions for the fiscal period (December 31, 2024 through February 28, 2025), as a percentage of the Fund’s NAV as of February 28, 2025. |
The Fund’s Board of Trustees (the “Board”) has authorized a managed distribution plan (the “Plan”) pursuant to which the Fund makes monthly distributions to shareholders at the fixed rate of
The Board may amend the terms of the Plan or terminate the Plan at any time without prior notice to the Fund’s shareholders. The amendment or termination of the Plan could have an adverse effect on the market price of the Fund’s common shares. The Plan will be subject to the periodic review by the Board, including a yearly review of the fixed rate to determine if an adjustment should be made.
For further information on Franklin Limited Duration Income Trust, please visit our web site at: www.franklintempleton.com
Franklin Resources, Inc. is a global investment management organization with subsidiaries operating as Franklin Templeton and serving clients in over 150 countries. Franklin Templeton’s mission is to help clients achieve better outcomes through investment management expertise, wealth management and technology solutions. Through its specialist investment managers, the company offers specialization on a global scale, bringing extensive capabilities in fixed income, equity, alternatives and multi-asset solutions. With more than 1,500 investment professionals, and offices in major financial markets around the world, the
View source version on businesswire.com: https://www.businesswire.com/news/home/20250328054454/en/
For more information, please contact Franklin Templeton at 1-800-342-5236.
Source: Franklin Templeton