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FTIF - Templeton European Dividend Fund August 31, 2021

FTIF - Templeton European August 31, 2021 Dividend Fund

Portfolio Holdings

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 annual financial statements of the fund.

Security Security Shares/ Market % of Coupon Maturity Identifier Name Positions Held Value TNA Rate Date

BLF0MX8 AB IGNITIS GRUPE 42,682 €1,049,977 1.09% N/A N/A

BVRZ8L1 AENA SME SA 16,566 €2,243,042 2.34% N/A N/A

BNTJ354 ALLFUNDS GROUP LTD 120,759 €1,843,714 1.92% N/A N/A

BYYHL23 ANHEUSER-BUSCH INBEV SA/NV 26,608 €1,382,110 1.44% N/A N/A

0989529 ASTRAZENECA PLC 19,090 €1,890,716 1.97% N/A N/A

0263494 BAE SYSTEMS PLC 297,299 €1,967,136 2.05% N/A N/A

0286941 BIG YELLOW GROUP PLC 149,749 €2,659,094 2.77% N/A N/A

0798059 BP PLC 374,491 €1,290,323 1.34% N/A N/A

7380482 CIE DE SAINT-GOBAIN 26,411 €1,621,520 1.69% N/A N/A

BLNN3L4 PLC 81,836 €1,431,918 1.49% N/A N/A

4598589 CONTINENTAL AG 13,574 €1,544,930 1.61% N/A N/A

B1Y9TB3 SA 33,822 €2,091,786 2.18% N/A N/A

7021963 DEUTSCHE BOERSE AG 13,508 €1,972,938 2.06% N/A N/A

5842359 AG 58,668 €1,056,508 1.10% N/A N/A

B13X013 EIFFAGE SA 29,285 €2,580,619 2.69% N/A N/A

4942904 E.ON SE 71,949 €803,949 0.84% N/A N/A

BNBNSG0 EURONEXT NV 28,428 €2,793,911 2.91% N/A N/A

BYT05J2 FLOW TRADERS 28,442 €981,249 1.02% N/A N/A

BYXJC27 IBSTOCK PLC 813,678 €2,270,267 2.37% N/A N/A

0454492 PLC 149,053 €2,677,073 2.79% N/A N/A

BMJ6DW5 PLC 362,594 €2,244,227 2.34% N/A N/A

BZ57390 ING GROEP NV 182,110 €2,127,539 2.22% N/A N/A

INTERNATIONAL CONSOLIDATED B5M6XQ7 716,398 €1,330,263 1.39% N/A N/A AIRLINES GROUP SA

DDD1073181 JDE PEET'S NV 106,904 €3,110,906 3.24% N/A N/A

BYMT0J1 LIVANOVA PLC 28,700 €2,009,996 2.09% N/A N/A

BMVB566 LOOMIS AB 33,696 €885,514 0.92% N/A N/A

B0B87F6 MARR SPA 126,085 €2,587,298 2.70% N/A N/A

F62379114 METROPOLE TELEVISION SA 125,964 €2,269,871 2.37% N/A N/A franklintempleton. 1 FTIF - Templeton European Dividend Fund August 31, 2021

Security Security Shares/ Market % of Coupon Maturity Identifier Name Positions Held Value TNA Rate Date

0682538 36,455 €1,249,540 1.30% N/A N/A

0709954 114,396 €2,018,557 2.10% N/A N/A

B63H849 ROLLS-ROYCE HOLDINGS PLC 1,620,574 €2,164,469 2.26% N/A N/A

B03MLX2 PLC 177,400 €2,977,759 3.10% N/A N/A

B8C3BL0 PLC/THE 318,368 €2,753,640 2.87% N/A N/A

B156T57 SBM OFFSHORE NV 168,149 €2,591,757 2.70% N/A N/A

5727973 AG 12,992 €1,825,368 1.90% N/A N/A

BYY7VY5 SIGNIFY NV 23,044 €1,093,361 1.14% N/A N/A

0922320 SMITH & NEPHEW PLC 101,422 €1,644,839 1.71% N/A N/A

B1RR828 GROUP PLC 62,360 €3,026,967 3.15% N/A N/A

4821100 SOLVAY SA 18,417 €2,041,596 2.13% N/A N/A

BYZFYS3 SPIE SA 88,202 €1,773,085 1.85% N/A N/A

B15SLC4 TGS ASA 99,306 €931,705 0.97% N/A N/A

4162791 THALES SA 29,481 €2,535,940 2.64% N/A N/A

B15C557 TOTALENERGIES SE 67,509 €2,528,984 2.64% N/A N/A

BRJL176 UBS GROUP AG 175,238 €2,475,132 2.58% N/A N/A

B10RZP7 PLC 18,026 €850,045 0.89% N/A N/A

BDC5ST8 VALEO 97,185 €2,349,276 2.45% N/A N/A

4031879 ENVIRONNEMENT SA 67,966 €1,975,361 2.06% N/A N/A

B1KJJ40 PLC 39,072 €1,461,278 1.52% N/A N/A

B2PDGW1 WH SMITH PLC 74,315 €1,414,635 1.47% N/A N/A

franklintempleton.lu 2 FTIF - Templeton European Dividend Fund August 31, 2021

LUXEMBOURG PUBLIC DISCLAIMER

This information is intended to be of general information and interest only and does not constitute legal or neither tax advice nor is it an offer for shares or invitation to apply for shares of the Luxembourg-domiciled SICAV Franklin Templeton Investment Funds (the “Fund”). Nothing in this information should be construed as investment advice.

Information and data provided at publication date are subject to change without prior notice especially given the rapidly changing market environment. Franklin Templeton Investments disclaims responsibility for updating this data and should not be liable to any user of this information or to any other person or entity for the inaccuracy of information or any errors or omissions in its content, regardless of the cause of such inaccuracy, error or omission.

Subscriptions to shares of the Fund can only be made on the basis of the current prospectus of the Fund and where available, in the relevant Key Investor Information Document, accompanied by the latest available audited annual report and the latest semi-annual report if published thereafter.

The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance is not an indication or a guarantee of future performance. Currency fluctuations may affect the value of overseas investments. When investing in a fund denominated in a foreign currency, your performance may also be affected by currency fluctuations.

An investment in the Fund entails risks which are described in the Fund’s prospectus and where available, in the relevant Key Investor Information Document. In emerging markets, the risks can be greater than in developed markets. Investments in derivative instruments entail specific risks fully described in the Fund’s prospectus and where available, in the relevant Key Investor Information Document.

No shares of the Fund may be directly or indirectly offered or sold to nationals or residents of the United States of America. Shares of the Fund are not available for distribution in all jurisdictions and prospective investors should confirm availability with their local Franklin Templeton Investments representative before making any plans to invest.

Any research and analysis contained in this document has been procured by Franklin Templeton Investments for its own purposes and is provided to you only incidentally. References to particular industries, sectors or companies are for general information and are not necessarily indicative of a fund’s future performance.

Please consult your financial advisor before deciding to invest. A copy of the latest prospectus, and where available, the relevant Key Investor Information Document, the annual report and semi-annual report, if published, thereafter can be found on our website www.ftidocuments.com or can be obtained, free of charge, from Franklin Templeton International Services S.à r.l.- Supervised by the Commission de Surveillance du Secteur Financier - 8A, rue Albert Borschette L-1246 Luxembourg - Tel: +352-46 66 67-1 - Fax: +352-46 66 76.

Issued by Franklin Templeton International Services S.à r.l.

Franklin Templeton International Services S.à.r.l. 8A, rue Albert Borschette L-1246 Luxembourg +352 46 66 67 1 franklintempleton.lu

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