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LU1527735523

Franklin Income Fund

As of 01/13/2026

NAV 1

$9.25

 
 

NAV Change 1

$0.01

(0.11%)
As of 12/31/2025

Morningstar Overall Rating™ 23

USD Moderate Allocation

Change to the definition of “Valuation Day”. Learn more

Overview

Fund Information
Total Net Assets  As of 12/31/2025 (Updated Monthly)
$10.25 Billion
Fund Inception Date 
07/01/1999
Share Class Inception Date 
12/16/2016
Base Currency for Fund 
USD
Base Currency for Share Class 
USD
Benchmark 
Linked Blended 50% MSCI USA High Dividend Yield Index + 25% Bloomberg High Yield Very Liquid Index + 25% Bloomberg US Aggregate Index
Asset Class 
Multi-Asset
Investment Manager 
Franklin Advisers, Inc.
Legal Umbrella 
Franklin Templeton Investment Funds
Domicile 
Luxembourg
EU SFDR Category 
Article 6
Minimum Investment 
USD 1000
Dividends & Yields
Dividend Frequency, if any 
Monthly
Distribution Amount  As of 01/02/2026
$0.0630
Payable Date  As of 01/02/2026
01/09/2026
Dividend Yield4  As of 01/13/2026 (Updated Monthly)
8.12%
Sales Charges, Expenses & Fees 6
Initial Charge 
N/A
Ongoing Charges5  As of 12/31/2025
0.92%
Identifiers
CUSIP Code 
L40599851
ISIN Code 
LU1527735523
Bloomberg Code 
TFIWMDU LX
SEDOL Code 
BYNXXL5
Fund Number 
1955

Portfolio Managers

Edward D. Perks, CFA®

California, United States

Managed Fund Since 2002

Brendan Circle, CFA®

California, United States

Managed Fund Since 2019

Todd Brighton, CFA®

California, United States

Managed Fund Since 2017

Performance

Portfolio

Portfolio Holdings

Distributions

Distributions Per Share

Share Class  
W (Mdis) USD
Currency  
USD
Record Date  
12/31/2025
Ex-Dividend Date  
01/02/2026
Payable Date  
01/09/2026
NAV  
$9.12
Distribution Amount  
$0.0630

Pricing

Pricing History Chart

As of 01/13/2026 Updated Daily

Share Prices

As of 01/13/2026
NAV1 (Net Asset Value)
$9.25
NAV Change1 
$0.01
NAV Change (%)1 
0.11%
Highest / Lowest NAV
As of 01/13/2026 Updated Daily
Year 
Highest NAV
2026  
$9.25 As on 01/13/2026
2025  
$9.18 As on 12/30/2025
2024  
$9.37 As on 10/01/2024
2023  
$9.59 As on 02/02/2023
2022  
$10.63 As on 01/12/2022
2021  
$10.51 As on 05/07/2021
2020  
$10.16 As on 01/02/2020
2019  
$10.24 As on 04/12/2019
2018  
$10.81 As on 01/26/2018
2017  
$10.57 As on 10/05/2017
Year 
Lowest NAV
2026  
$9.12 As on 01/02/2026
2025  
$8.26 As on 04/08/2025
2024  
$8.75 As on 04/16/2024
2023  
$8.34 As on 10/27/2023
2022  
$8.54 As on 10/12/2022
2021  
$9.57 As on 01/29/2021
2020  
$7.68 As on 03/23/2020
2019  
$9.32 As on 01/03/2019
2018  
$9.11 As on 12/24/2018
2017  
$10.06 As on 01/23/2017

Documents

Product Literature

Fact Sheet
Ficha Comercial
Ficha commercial

Regulatory Documents

Key Information Document
Franklin Templeton Investment Funds (FTIF) - Folleto Informativo
Franklin Templeton Investment Funds (FTIF) Prospectus
Franklin Templeton Investment Funds (FTIF) Annual Report (full)
Franklin Templeton Investment Funds (FTIF) Semi Annual Report (full)
Franklin Templeton Investment Funds (FTIF) Articles of Incorporation