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Franklin Canadian Monthly Income and Growth Fund

As of 07/09/2026

Net Asset Value

$12.37

 
 

NAV Change

$0.02

(0.18%)
As of 06/30/2026

Morningstar Overall Rating™ 1

Canadian Neutral Balanced

Overview

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Fund description

The fund seeks a balance of income and capital appreciation by investing primarily in a diversified portfolio of income-generating Canadian, U.S. and global equities, equity-related securities and fixed-income securities.

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Learn about their backgrounds, how they approach investing and what moves them in their personal and professional lives in this series of short video interviews.

 

Risk Classification
Low
Low to Medium
Medium
Medium to High
High
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Reasons to invest

  • Unlocking opportunities across the capital structure. The strategy provides flexibility to invest across the capital structure with emphasis on seeking to generate the best income and capital appreciation opportunities from Canadian and U.S. companies.
  • Benefit from multiple sources of income. The fund seeks to provide a sustainable cash flow from multiple sources: Canadian and U.S. common equity, preferred shares, Canadian and foreign fixed income, covered call option premiums and convertible debentures. Writing covered call options is expected to enhance yield generated by the strategy, as well as the flexibility of investing in a broader opportunity set.
  • Diversified exposure. Constructed around a broad set of lower correlated positions from the Canadian and U.S. market, the portfolio seeks to provide stability and ease the investor’s exposure to market swings.
Fund Information
Total Net Assets  As of 06/30/2026 (Updated Monthly)
$88.11 Million
Fund Inception Date 
06/22/2015
Series Inception Date 
10/03/2016
Base Currency for Fund 
CAD
Base Currency for Series 
CAD
Benchmark 
Custom Franklin Canadian Monthly Income and Growth Fund Index
Asset Class 
Multi-Asset
Risk Classification 
Low to Medium
Distributions
Distribution Amount  As of 06/30/2026
$0.0232
Payable Date  As of 06/30/2026
06/30/2026
Distribution Frequency 
Monthly
Reinvestment Amount  As of 06/30/2026
$12.3179
Expenses
MER  As of 12/31/2025
0.75%
Management Fee  As of 06/30/2026
0.60%
Fund Codes
Fund Code 
3894
ADM 
5120
Base Currency for Series 
CAD

Portfolio Managers

Darcy Briggs, CFA®

Calgary, AB Canada

Managed Fund Since 2015

Garey J. Aitken, CFA®

Calgary, AB Canada

Managed Fund Since 2015

John Baldi

New York, United States

Managed Fund Since 2024

Tim Caulfield, CFA®

Calgary, AB Canada

Managed Fund Since 2015

Performance

Portfolio

Portfolio Holdings

Holdings 3

As of 05/31/2026 Updated Monthly
Security Name 
Royal Bank of Canada ORD NPV
Weight (%) 
2.68
Market Value 
2,325,221
Quantity 
8,793
Security Name 
Toronto-Dominion Bank/The ORD NPV
Weight (%) 
1.92
Market Value 
1,664,736
Quantity 
10,553
Security Name 
Bank of Montreal ORD CAD2
Weight (%) 
1.60
Market Value 
1,385,455
Quantity 
6,187
Security Name 
Canadian National Railway Co ORD NPV CAD
Weight (%) 
1.48
Market Value 
1,279,390
Quantity 
7,837
Security Name 
WHEATON PRECIOUS METALS CORP ORD CAD NPV
Weight (%) 
1.38
Market Value 
1,193,965
Quantity 
6,432
Security Name 
Province Of Ontario Canada 3.75% 06/02/2032
Weight (%) 
1.33
Market Value 
1,154,506
Quantity 
1,110,000
Security Name 
Bank of Nova Scotia/The ORD CAD NPV
Weight (%) 
1.29
Market Value 
1,118,368
Quantity 
10,110
Security Name 
Coca-Cola Co/The COM USD0.25
Weight (%) 
1.26
Market Value 
1,095,045
Quantity 
10,053
Security Name 
Brookfield Infrastructure Partners LP LP CAD NPV
Weight (%) 
1.24
Market Value 
1,078,727
Quantity 
19,776
Security Name 
Microsoft Corp COM USD0.001
Weight (%) 
1.19
Market Value 
1,035,593
Quantity 
1,665

Distribution

Dividends Per Share 4

Series  
Series FT
Series Currency  
CAD
Record Date  
06/29/2026
Payable Date  
06/30/2026
Distribution Price  
$12.3179
Invested Income  
$0.0232
Return of Capital  
$0.0358
Capital Gains  
$0.0000
Total Distributions per Unit  
$0.0232

All fund distributions will vary depending upon current market conditions, and past distributions are not indicative of future trends.

Pricing

Pricing History Chart

As of 07/09/2026 Updated Daily

Daily Fund Prices

As of 07/09/2026

Prices

As of 07/09/2026
Net Asset Value (Net Asset Value)
$12.37
NAV Change 
$0.02
NAV Change (%) 
0.18%

52-Week Range

Highest NAV  As on 07/07/2026
$12.43
Lowest NAV  As on 07/15/2025
$11.44

Documents

Fund Literature

PDF Format

Factsheet - Franklin Canadian Monthly Income and Growth Fund - Series FT-CAD

PDF Format

Product Commentary - Franklin Canadian Monthly Income and Growth Fund

Regulatory Documents

PDF Format

Simplified Prospectus dated May 15, 2025

PDF Format

Quarterly Product Disclosure

PDF Format

Semiannual Management Report of Fund Performance - Franklin Canadian Monthly Income and Growth Fund

PDF Format

Annual Management Report of fund performance

PDF Format

Point of Sale Fund Facts – Franklin Canadian Monthly Income and Growth Fund Series FT