FRANKLIN RESOURCES INC

Q2 2020 13F Combination Report, Stock Holdings

Signature - Title
Thomas C. Mandia - Assistant Secretary
Location
San Mateo, CA
Holdings as of
June 30, 2020
Value $
$189B
Num holdings
1,717
Date filed
8/13/2020, 01:05 PM
Description
A portion of the US holdings for this investor are reported in this report and a portion are reported by other reporting manager(s). The Form 13F report requires disclosure of the manager that files the report, the name and class of the security, the CUSIP code, the number of shares as of the end of the calendar quarter for which the report is filed, and the total market value. The market value column should not be used as a substitute for Assets Under Management (AUM), as it does not include cash held in accounts.
Previous filing
Q1 2020 - May 13, 2020
Options Holdings
Showing stock holdings, see here for options holdings
Sym Weight Trade Impact Company Class Shares Change Activity Value Change $ Value $ * Price $ Shares Principal
Filing 2020 Q2 compared to 2020 Q1 by default.
* Reported Price is the price of the security as of the portfolio date. This value is significant in that it is the last known price at which the security was still held.
An asterisk sign (*) next to the price indicates that the price is likely invalid.

Person Signing this Report on Behalf of Reporting Manager:

Name Title City, State Date
Aliya S. Gordon Vice President and Secretary San Mateo, California 8/4/2020

Fiduciary Trust Company International of Pennsylvania (formerly known as Pennsylvania Trust Co.), 13F File Number 028-15057 ("FTCIP"), was acquired by Franklin Resources, Inc. ("FRI") on May 1, 2020. Through the quarter ended March 31, 2020, FTCIP reported its holdings of 13F Securities on a 13F Holdings Report. As a result of that acquisition, beginning with this Form 13F, FTCIP will no longer file a Holdings Report. Instead, FTCIP's holdings of 13F Securities will be included on FRI's Combination Report, FTCIP will be listed as an Other Included Manager on that Combination Report, and FTCIP will file, to the extent required, a 13F Notice. Additionally, Fiduciary Trust International LLC, which is listed as an Other Manager Reporting for FRI, was formerly known as Athena Capital Advisors LLC.

List of Other Managers Reporting for FRANKLIN RESOURCES INC:

Name Holdings Value Location File Number
Clearbridge Investments, LLC $127B New York, NY 028-11611
Brandywine Global Investment Management, LLC $15B Philadelphia, PA 028-02204
O'SHAUGHNESSY ASSET MANAGEMENT, LLC $11.2B Stamford, CT 028-12966
ROYCE & ASSOCIATES LP $11B New York, NY 028-03780
ClearBridge Investments Ltd $3.92B Sydney, Australia 028-16543
MARTIN CURRIE LTD $2.82B Edinburgh, United Kingdom 028-13902
Western Asset Management Company, LLC $96.9M Pasadena, CA 028-10245
Lexington Partners L.P. $94.3M New York, NY 028-17321

Other Included Managers (17):

Num Name Location File Number
1 Edinburgh Partners Ltd 028-13078
2 FIDUCIARY TRUST CO INTERNATIONAL New York, NY 028-03877
3 FIDUCIARY TRUST Co OF CANADA Toronto, Ontario, Canada 028-17561
4 FRANKLIN ADVISERS INC San Mateo, CA 028-03578
5 FRANKLIN ADVISORY SERVICES LLC San Mateo, CA 028-05930
6 FRANKLIN MUTUAL ADVISERS LLC Short Hills, NJ 028-06154
7 Franklin Templeton Institutional, LLC New York, NY 028-12310
8 Franklin Templeton International Services S.a r.l Luxembourg, Luxembourg 028-19123
9 Franklin Templeton Investimentos (Brasil) Ltda 028-18545
10 FRANKLIN TEMPLETON INVESTMENT MANAGEMENT LTD London, United Kingdom 028-11761
11 Franklin Templeton Investments Australia LTD 028-11753
12 FRANKLIN TEMPLETON INVESTMENTS CORP Toronto, Ontario, Canada 028-06143
13 K2/D&S MANAGEMENT CO LLC 028-17200
14 Fiduciary Trust Co International of Pennsylvania Radnor, PA 028-15057
15 TEMPLETON ASSET MANAGEMENT LTD Singapore, Singapore 028-11763
16 TEMPLETON GLOBAL ADVISORS LTD Nassau, Bahamas 028-05454
17 TEMPLETON INVESTMENT COUNSEL LLC Fort Lauderdale, FL 028-01074