Franklin Limited Duration Income Trust (“FTF” or the “Fund”) Announces Distribution
Franklin Duration Income Trust (FTF) has announced its monthly distribution of $0.0615 per share, payable on December 31, 2024, to shareholders of record on December 16, 2024. The Fund's managed distribution plan aims to provide consistent monthly distributions and narrow the discount between market price and NAV of common shares.
The Fund prioritizes generating distributions from net ordinary income and short-term capital gains, aligned with its investment strategy. If insufficient distributable income is available monthly, the Fund may distribute long-term capital gains or return capital to maintain its rate. The Board maintains oversight of the Plan, including annual review of the fixed rate, and may amend or terminate it without prior notice.
Franklin Resources, the parent company, manages over $1.6 trillion in assets as of October 31, 2024, serving clients in over 150 countries through its investment management expertise.
Franklin Duration Income Trust (FTF) ha annunciato la sua distribuzione mensile di $0,0615 per azione, pagabile il 31 dicembre 2024, agli azionisti registrati il 16 dicembre 2024. Il piano di distribuzione gestito dal Fondo mira a fornire distribuzioni mensili costanti e a ridurre lo sconto tra il prezzo di mercato e il NAV delle azioni ordinarie.
Il Fondo dà priorità alla generazione di distribuzioni da reddito ordinario netto e guadagni in conto capitale a breve termine, in linea con la sua strategia di investimento. Se non ci sono entrate distribuibili sufficienti disponibili mensilmente, il Fondo può distribuire guadagni in conto capitale a lungo termine o restituire capitale per mantenere il suo tasso. Il Consiglio mantiene la supervisione del Piano, incluso il riesame annuale del tasso fisso, e può modificarlo o terminarlo senza preavviso.
Franklin Resources, la società madre, gestisce oltre $1,6 trilioni in attivi a partire dal 31 ottobre 2024, servendo clienti in oltre 150 paesi attraverso la sua esperienza nella gestione degli investimenti.
Franklin Duration Income Trust (FTF) ha anunciado su distribución mensual de $0.0615 por acción, pagadera el 31 de diciembre de 2024, a los accionistas registrados el 16 de diciembre de 2024. El plan de distribución gestionado por el Fondo busca proporcionar distribuciones mensuales consistentes y reducir el descuento entre el precio de mercado y el NAV de las acciones ordinarias.
El Fondo prioriza la generación de distribuciones a partir de ingresos ordinarios netos y ganancias de capital a corto plazo, alineándose con su estrategia de inversión. Si no hay suficiente ingreso distribuible disponible mensualmente, el Fondo puede distribuir ganancias de capital a largo plazo o devolver capital para mantener su tasa. La Junta mantiene la supervisión del Plan, incluida la revisión anual de la tasa fija, y puede enmendarlo o finalizarlo sin previo aviso.
Franklin Resources, la empresa matriz, gestiona más de $1.6 billones en activos a partir del 31 de octubre de 2024, atendiendo a clientes en más de 150 países a través de su experiencia en gestión de inversiones.
프랭클린 듀레이션 인컴 트러스트(FTF)는 주당 $0.0615의 월 배당금을 발표했으며, 2024년 12월 31일에 지급되고, 2024년 12월 16일 기준 주주에게 지급됩니다. 펀드의 관리 배급 계획은 일관된 월 배당금을 제공하고 일반주식의 시장 가격과 NAV 간의 할인율을 좁히는 것을 목표로 합니다.
펀드는 투자 전략에 맞춰 순수한 총소득 및 단기 자본 차익으로부터의 배당금 생성을 우선시합니다. 매달 배당할 수 있는 수익이 부족할 경우, 펀드는 장기 자본 이득을 분배하거나 비율 유지를 위해 자본을 반환할 수 있습니다. 이사회는 고정 비율의 연간 검토를 포함하여 계획을 감독하며 사전 통지 없이 수정하거나 종료할 수 있습니다.
모회사인 프랭클린 리소스는 2024년 10월 31일 기준으로 적어도 $1.6 조의 자산을 관리하고 있으며, 150개 이상의 국가에 걸쳐 투자 관리 전문성을 통해 고객에게 서비스를 제공합니다.
Franklin Duration Income Trust (FTF) a annoncé sa distribution mensuelle de 0,0615 $ par action, payable le 31 décembre 2024, aux actionnaires enregistrés le 16 décembre 2024. Le plan de distribution géré par le Fonds vise à fournir des distributions mensuelles constantes et à réduire l'écart entre le prix de marché et la valeur liquidative (NAV) des actions ordinaires.
Le Fonds privilégie la génération de distributions à partir de revenus ordinaires nets et de gains en capital à court terme, conformément à sa stratégie d'investissement. Si les revenus distribuables disponibles chaque mois sont insuffisants, le Fonds peut distribuer des gains en capital à long terme ou retourner du capital pour maintenir son taux. Le Conseil supervise le Plan, y compris la révision annuelle du taux fixe, et peut le modifier ou le résilier sans préavis.
Franklin Resources, la société mère, gère plus de 1,6 billion $ d'actifs au 31 octobre 2024, servant des clients dans plus de 150 pays grâce à son expertise en gestion d'investissement.
Franklin Duration Income Trust (FTF) hat seine monatliche Ausschüttung von 0,0615 $ pro Aktie bekannt gegeben, die am 31. Dezember 2024 an die Aktionäre ausgezahlt wird, die am 16. Dezember 2024 im Aktienregister stehen. Der verwaltete Ausschüttungsplan des Fonds zielt darauf ab, konsistente monatliche Ausschüttungen bereitzustellen und die Diskrepanz zwischen dem Marktpreis und dem NAV der Stammaktien zu verringern.
Der Fonds priorisiert die Generierung von Ausschüttungen aus netto ordentlichen Einkommen und kurzfristigen Kapitalgewinnen, was mit seiner Anlagestrategie übereinstimmt. Wenn monatlich nicht genügend auszuschüttendes Einkommen verfügbar ist, kann der Fonds langfristige Kapitalgewinne ausschütten oder Kapital zurückgeben, um seine Quote aufrechtzuerhalten. Der Vorstand überwacht den Plan, einschließlich der jährlichen Überprüfung des festen Satzes und kann diesen ohne vorherige Ankündigung ändern oder beenden.
Franklin Resources, das Mutterunternehmen, verwaltet bis zum 31. Oktober 2024 über 1,6 Billionen $ an Vermögenswerten und bedient Kunden in über 150 Ländern durch seine Expertise im Bereich Anlageverwaltung.
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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.
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 Plan. 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.
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
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For more information, please contact Franklin Templeton at 1-800-342-5236
Source: Franklin Templeton
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