TORONTO, Nov. 22,
2024 /CNW/ - Franklin
Templeton Canada today announced cash distributions for
certain ETFs and ETF series of mutual funds available to
Canadian investors.
As detailed in the table below, unitholders of record as of
November 29, 2024, will receive a
per-unit cash distribution payable on December 9, 2024.
Fund
Name
|
Ticker
|
Type
|
Cash
Distribution
Per Unit
($)
|
Payment
Frequency
|
Franklin Brandywine
Global Sustainable Income Optimiser Fund – ETF Series
|
FBGO
|
Active
|
0.090153
|
Monthly
|
Franklin ClearBridge
Sustainable Global Infrastructure Income Fund – ETF Series
|
FCII
|
Active
|
0.011902
|
Monthly
|
Franklin Canadian
Government Bond Fund – ETF Series
|
FGOV
|
Active
|
0.049478
|
Monthly
|
Franklin Canadian Ultra
Short Term Bond Fund – ETF Series
|
FHIS
|
Active
|
0.066623
|
Monthly
|
Franklin Canadian
Corporate Bond Fund – ETF Series
|
FLCI
|
Active
|
0.066540
|
Monthly
|
Franklin Canadian Core
Plus Bond Fund – ETF Series
|
FLCP
|
Active
|
0.049906
|
Monthly
|
Franklin Global Core
Bond Fund – ETF Series
|
FLGA
|
Active
|
0.036584
|
Monthly
|
Franklin Canadian Short
Term Bond Fund – ETF Series
|
FLSD
|
Active
|
0.061568
|
Monthly
|
Franklin Canadian Low
Volatility High Dividend Index ETF
|
FLVC
|
Passive
|
0.056133
|
Monthly
|
Franklin International
Low Volatility High Dividend Index ETF
|
FLVI
|
Passive
|
0.068600
|
Monthly
|
Franklin U.S. Low
Volatility High Dividend Index ETF
|
FLVU
|
Passive
|
0.037867
|
Monthly
|
Estimated Annual Reinvested Distributions
Unitholders of record on December 31, 2024, will
receive a per-unit reinvested distribution payable on January
9, 2025. These annual reinvested distributions, detailed in the
table below, are estimates only as of September 30, 2024. The
final year-end distribution amounts will be announced
on December 20, 2024.
Fund
Name
|
Ticker
|
Type
|
Estimated
Annual
Reinvested
Distribution
Per Unit
($)
|
Franklin Core ETF
Portfolio – ETF Series
|
CBL
|
Active
|
0.345380
|
Franklin Conservative
Income ETF Portfolio – ETF Series
|
CNV
|
Active
|
-
|
Franklin All-Equity ETF
Portfolio – ETF Series
|
EQY
|
Active
|
0.068630
|
Franklin Brandywine
Global Sustainable Income Optimiser Fund – ETF Series
|
FBGO
|
Active
|
-
|
Franklin ClearBridge
Sustainable Global Infrastructure Income Fund – ETF
Series
|
FCII
|
Active
|
-
|
Franklin ClearBridge
Sustainable International Growth Fund – ETF Series
|
FCSI
|
Active
|
-
|
Franklin Global Growth
Fund – ETF Series
|
FGGE
|
Active
|
-
|
Franklin Canadian
Government Bond Fund – ETF Series
|
FGOV
|
Active
|
-
|
Franklin Canadian Ultra
Short Term Bond Fund – ETF Series
|
FHIS
|
Active
|
-
|
Franklin Innovation
Fund – ETF Series
|
FINO
|
Active
|
-
|
Franklin FTSE U.S.
Index ETF
|
FLAM
|
Passive
|
0.158483
|
Franklin FTSE Canada
All Cap Index ETF
|
FLCD
|
Passive
|
-
|
Franklin Canadian
Corporate Bond Fund – ETF Series
|
FLCI
|
Active
|
-
|
Franklin Canadian Core
Plus Bond Fund – ETF Series
|
FLCP
|
Active
|
-
|
Franklin Emerging
Markets Equity Index ETF
|
FLEM
|
Passive
|
-
|
Franklin Global Core
Bond Fund – ETF Series
|
FLGA
|
Active
|
-
|
Franklin FTSE Japan
Index ETF
|
FLJA
|
Passive
|
-
|
Franklin Canadian Short
Term Bond Fund – ETF Series
|
FLSD
|
Active
|
-
|
Franklin International
Equity Index ETF
|
FLUR
|
Passive
|
0.029145
|
Franklin U.S. Large Cap
Multifactor Index ETF
|
FLUS
|
Smart
Beta
|
2.299712
|
Franklin Canadian Low
Volatility High Dividend Index ETF
|
FLVC
|
Passive
|
0.127420
|
Franklin International
Low Volatility High Dividend Index ETF
|
FLVI
|
Passive
|
0.287091
|
Franklin U.S. Low
Volatility High Dividend Index ETF
|
FLVU
|
Passive
|
0.040207
|
Franklin Growth ETF
Portfolio – ETF Series
|
GRO
|
Active
|
0.598660
|
The annual reinvested distributions, as applicable, will not be
paid in cash but reinvested in additional units and reported as
taxable distributions, with a corresponding increase in each
unitholder's adjusted cost base of their units of the respective
ETF. The additional ETF units will be immediately consolidated so
that the number of units held by the unitholder, the outstanding
units and the net asset value of the ETFs will not change as a
result of the annual reinvested distribution. The annual reinvested
distributions, as applicable, are expected to be capital gains in
nature for each of the ETFs.
The actual taxable amounts of cash and reinvested distributions
for 2024, including the tax characteristics of the distributions,
will be reported to brokers through CDS Clearing and Depository
Services Inc. in early 2025.
Franklin Templeton's diverse and
innovative ETF platform was built to provide better client outcomes
for a range of market conditions and investment opportunities. The
product suite offers active, smart beta and passive ETFs that span
multiple asset classes and geographies. For more information,
please visit franklintempleton.ca/etf.
About Franklin
Templeton
Franklin Resources, Inc. [NYSE:BEN] is a global investment
management organization with subsidiaries operating as Franklin Templeton and serving clients in over
150 countries. In Canada, the company's subsidiary is Franklin
Templeton Investments Corp., which operates as Franklin Templeton Canada. 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 California-based company has over 75 years of
investment experience and over US$1.6
trillion (over CAN$2.2 trillion) in assets under management
as of October 31, 2024. For more information, please visit
franklintempleton.ca.
Commissions, management fees and expenses all may be
associated with investments in ETFs and ETF series. Investors
should carefully consider an ETF's and ETF series' investment
objectives and strategies, risks, fees and expenses before
investing. The prospectus and ETF facts contain this and other
information. Please read the prospectus and ETF facts carefully
before investing. ETFs and ETF series trade like stocks, fluctuate
in market value and may trade at prices above or below their net
asset value. Brokerage commissions and ETF and ETF series expenses
will reduce returns. ETFs and ETF series are not guaranteed, their
values change frequently, and past performance may not be
repeated.
Copyright © 2024. Franklin Templeton. All rights
reserved.
SOURCE Franklin Templeton Investments Corp.