The Following Portfolio Data for the Franklin Templeton Funds Is Made
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Portfolio Holdings for Franklin Growth Opportunities Fund as of December 31, 2015 The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release Policy and is "as of" the date indicated. This portfolio data should not be relied upon as a complete listing of a fund's holdings (or of a fund's top holdings) as information on particular holdings may be withheld if it is in the fund's interest to do so. Additionally, foreign currency forwards are not included in the portfolio data. Instead, the net market value of all currency forward contracts is included in cash and other net assets of the fund. Further, portfolio holdings data of over-the-counter derivative investments such as Credit Default Swaps, Interest Rate Swaps or other Swap contracts list only the name of counterparty to the derivative contract, not the details of the derivative. Complete portfolio data can be found in the semi- and annual financial statements of the fund. Security Shares/ % of Coupon Maturity Identifier Security Name Positions Held Market Value TNA Rate Date DDD603344 ACERTA PHARMA BV 395,765 $9,808,448 0.75% N/A 02/01/49 00724F101 ADOBE SYSTEMS INC 194,237 $18,246,623 1.39% N/A N/A 008252108 AFFILIATED MANAGERS GROUP INC 77,057 $12,310,626 0.94% N/A N/A 01748X102 ALLEGIANT TRAVEL CO 47,945 $8,046,609 0.61% N/A N/A G0177J108 ALLERGAN PLC 166,146 $51,920,625 3.96% N/A N/A 02043Q107 ALNYLAM PHARMACEUTICALS INC 43,715 $4,115,330 0.31% N/A N/A 02079K107 ALPHABET INC 31,531 $23,928,245 1.83% N/A N/A 02079K305 ALPHABET INC 46,744 $36,367,299 2.78% N/A N/A 023135106 AMAZON.COM INC 84,182 $56,897,771 4.34% N/A N/A 03027X100 AMERICAN TOWER CORP 147,178 $14,268,907 1.09% N/A N/A 032420101 ANACOR PHARMACEUTICALS INC 78,915 $8,915,027 0.68% N/A N/A 032511107 ANADARKO PETROLEUM CORP 435,903 $21,176,167 1.62% N/A N/A 037833100 APPLE INC 335,226 $35,285,888 2.69% N/A N/A 0059585 ARM HOLDINGS PLC 437,098 $6,693,867 0.51% N/A N/A BZ09BD1 ATLASSIAN CORP PLC 27,300 $821,184 0.06% N/A N/A B3WS2X9 AVAGO TECHNOLOGIES LTD 152,692 $22,163,243 1.69% N/A N/A BSFWCF5 AXALTA COATING SYSTEMS LTD 515,186 $13,729,706 1.05% N/A N/A 073302101 B/E AEROSPACE INC 120,085 $5,088,001 0.39% N/A N/A 449370105 BIOGEN INC 65,576 $20,089,207 1.53% N/A N/A 09247X101 BLACKROCK INC 28,312 $9,640,802 0.74% N/A N/A 11133B409 BROADSOFT INC 227,230 $8,034,852 0.61% N/A N/A 119848109 BUFFALO WILD WINGS INC 38,101 $6,082,824 0.46% N/A N/A 12504L109 CBRE GROUP INC 461,163 $15,947,016 1.22% N/A N/A 151020104 CELGENE CORP 399,132 $47,800,048 3.65% N/A N/A 053491106 CELLDEX THERAPEUTICS INC 265,002 $4,155,231 0.32% N/A N/A Page 1 of 4 Portfolio Holdings for Franklin Growth Opportunities Fund as of December 31, 2015 Security Shares/ % of Coupon Maturity Identifier Security Name Positions Held Market Value TNA Rate Date 808513105 CHARLES SCHWAB CORP 693,493 $22,836,724 1.74% N/A N/A 169656105 CHIPOTLE MEXICAN GRILL INC 13,687 $6,567,706 0.50% N/A N/A 21036P108 CONSTELLATION BRANDS INC 157,316 $22,408,091 1.71% N/A N/A 25278X109 DIAMONDBACK ENERGY INC 191,058 $12,781,780 0.98% N/A N/A 25389M109 DIGITALGLOBE INC 172,415 $2,700,018 0.21% N/A N/A 278865100 ECOLAB INC 84,285 $9,640,518 0.74% N/A N/A 28176E108 EDWARDS LIFESCIENCES CORP 143,872 $11,363,010 0.87% N/A N/A 285512109 ELECTRONIC ARTS INC 313,603 $21,550,798 1.65% N/A N/A 29413U103 ENVISION HEALTHCARE HOLDINGS I 436,750 $11,342,397 0.87% N/A N/A 30303M102 FACEBOOK INC 414,755 $43,408,258 3.31% N/A N/A 34354P105 FLOWSERVE CORP 163,465 $6,878,607 0.53% N/A N/A 369604103 GENERAL ELECTRIC CO 422,750 $13,168,662 1.01% N/A N/A 375558103 GILEAD SCIENCES INC 312,431 $31,614,892 2.41% N/A N/A 410345102 HANESBRANDS INC 406,342 $11,958,645 0.91% N/A N/A 413086109 HARMAN INTERNATIONAL INDUSTRIE 100,612 $9,478,656 0.72% N/A N/A 428291108 HEXCEL CORP 122,870 $5,707,311 0.44% N/A N/A 8611239C3 IFT MONEY MARKET PORTFOLIO 66,657,679 $66,657,679 5.09% N/A N/A 451734107 IHS INC 124,475 $14,741,574 1.13% N/A N/A 452327109 ILLUMINA INC 85,787 $16,466,385 1.26% N/A N/A 45256B101 IMPAX LABORATORIES INC 136,306 $5,828,444 0.44% N/A N/A 45337C102 INCYTE CORP 99,062 $10,743,273 0.82% N/A N/A B4Q5ZN4 JAZZ PHARMACEUTICALS PLC 64,914 $9,124,311 0.70% N/A N/A 48576U106 KARYOPHARM THERAPEUTICS INC 223,481 $2,961,123 0.23% N/A N/A 53578A108 LINKEDIN CORP 53,631 $12,071,265 0.92% N/A N/A 548661107 LOWE'S COMPANIES INC 171,869 $13,068,918 1.00% N/A N/A 573284106 MARTIN MARIETTA MATERIALS INC 82,608 $11,282,600 0.86% N/A N/A 57636Q104 MASTERCARD INC 484,999 $47,219,502 3.60% N/A N/A 582839106 MEAD JOHNSON NUTRITION COMPANY 111,431 $8,797,477 0.67% N/A N/A 594918104 MICROSOFT CORP 348,944 $19,359,413 1.48% N/A N/A N51488117 MOBILEYE NV 106,302 $4,494,448 0.34% N/A N/A 61174X109 MONSTER BEVERAGE CORP 162,610 $24,222,385 1.85% N/A N/A 63016Q9S3 NANTKWEST INC 33,800 $527,178 0.04% N/A N/A DDD605999 NANTKWEST INC 33,800 $585,754 0.04% N/A N/A Page 2 of 4 Portfolio Holdings for Franklin Growth Opportunities Fund as of December 31, 2015 Security Shares/ % of Coupon Maturity Identifier Security Name Positions Held Market Value TNA Rate Date 654106103 NIKE INC 307,568 $19,223,000 1.47% N/A N/A B505PN7 NXP SEMICONDUCTORS NV 273,221 $23,018,869 1.76% N/A N/A 697435105 PALO ALTO NETWORKS INC 92,173 $16,235,352 1.24% N/A N/A BGH1M56 PERRIGO CO PLC 101,805 $14,731,183 1.12% N/A N/A 741503403 PRICELINE GROUP INC/THE 16,155 $20,596,817 1.57% N/A N/A 756577102 RED HAT INC 109,277 $9,049,228 0.69% N/A N/A 776696106 ROPER TECHNOLOGIES INC 42,317 $8,031,343 0.61% N/A N/A B687XN8 SAGENT PHARMACEUTICALS INC 185,520 $2,951,623 0.23% N/A N/A 79466L302 SALESFORCE.COM INC 162,738 $12,758,659 0.97% N/A N/A 78388J106 SBA COMMUNICATIONS CORP 323,917 $34,033,959 2.60% N/A N/A 81762P102 SERVICENOW INC 154,771 $13,396,977 1.02% N/A N/A 82669G104 SIGNATURE BANK/NEW YORK NY 107,774 $16,529,298 1.26% N/A N/A 855244109 STARBUCKS CORP 503,104 $30,201,333 2.31% N/A N/A DDD612685 TANIUM INC 268,600 $4,000,232 0.31% N/A N/A 872590104 T-MOBILE US INC 247,910 $9,698,239 0.74% N/A N/A 904311107 UNDER ARMOUR INC 223,446 $18,011,982 1.38% N/A N/A 92552V100 VIASAT INC 111,504 $6,802,859 0.52% N/A N/A 92826C839 VISA INC 510,460 $39,586,173 3.02% N/A N/A 91843L103 VWR CORP 231,808 $6,562,484 0.50% N/A N/A 254687106 WALT DISNEY CO 262,983 $27,634,253 2.11% N/A N/A 966244105 WHITEWAVE FOODS CO 327,494 $12,742,791 0.97% N/A N/A Page 3 of 4 Portfolio Holdings for Franklin Growth Opportunities Fund as of December 31, 2015 Security Shares/ % of Coupon Maturity Identifier Security Name Positions Held Market Value TNA Rate Date Important Legal Information • Portfolio holdings are subject to change without notice and may not represent current or future portfolio composition. The portfolio data is “as of” the date indicated and we disclaim any responsibility to update the information. • The net market value of all currency forward contracts is included in cash and other net assets, reflected in the base currency of the fund. The net market value of any Credit Default, Interest Rate and/or other Swap contract positions are displayed as exposure to the issuing counterparty (i.e. "Citibank"). • Unlike the fund’s regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it differs from that in the complete statement of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete statement of investments provided in the first and third quarter SEC Form N-Q filings for each fiscal year.