FFACX
Franklin Global Allocation Fund
Franklin Fund Allocator Series

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
237
Top-10 weight
22.94%
Effective holdings ?
105
Crowding ?
809.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 504,652 $88.01M 3.20%
2 APPLE INC 313,004 $79.44M 2.89%
3 Franklin BSP Lending Fund, Class R6 FBREX 7,017,508 $70.95M 2.58%
4 Franklin Institutional US Government Money Market Fund INFXX 67,228,283 $67.23M 2.44%
5 ALPHABET INC CL A 225,629 $64.88M 2.36%
6 Franklin Systematic Style Premia ETF FLSP 2,225,000 $60.52M 2.20%
7 JOHNSON&JOHNSON 231,500 $56.59M 2.06%
8 KLA CORP 33,633 $49.52M 1.80%
9 United Kingdom Gilt 37,373,008 $49.38M 1.80%
10 MICROSOFT CORP 110,109 $40.76M 1.48%
11 GERMANY FEDERAL REPUBLIC OF 2.3% 02/15/2033 REGS 34,723,602 $38.79M 1.41%
12 THE BOOKING HOLDINGS INC 9,065 $38.17M 1.39%
13 TAIWAN SEMIC MFG CO LTD SP ADR 100,965 $34.12M 1.24%
14 AMAZON.COM INC 162,685 $33.88M 1.23%
15 META PLATFORMS INC CL A 54,909 $31.42M 1.14%
16 FEDEX CORP 86,132 $30.68M 1.12%
17 CANADIAN GOVERNMENT BOND 41,137,000 $28.26M 1.03%
18 AIB GROUP PLC 2,433,100 $25.97M 0.94%
19 CITIGROUP INC 228,552 $25.92M 0.94%
20 MITSUBISHI UFJ F 1,506,464 $25.51M 0.93%
21 US TREASURY N/B 24,915,000 $25.03M 0.91%
22 CANADIAN GOVERNMENT BONDS 09/28 3.25 CANADA 34,072,000 $24.71M 0.90%
23 UNICREDIT SPA 328,138 $23.54M 0.86%
24 KIA CORP 228,430 $22.55M 0.82%
25 SAMSUNG ELECTRONICS CO LTD 183,341 $21.44M 0.78%
26 US TREASURY N/B 21,009,200 $21.02M 0.76%
27 Franklin BSP Private Credit Fund, Class Advisor 2,078,193 $20.12M 0.73%
28 DEUTSCHLAND REP 22,214,198 $20.07M 0.73%
29 United Kingdom Gilt 15,140,000 $19.87M 0.72%
30 V/E JPM EM L C B EMLC 773,281 $19.42M 0.71%
31 NETFLIX INC 190,997 $18.36M 0.67%
32 US TREASURY N/B 19,769,600 $18.29M 0.67%
33 China Government Bond 121,580,000 $17.92M 0.65%
34 BROADCOM INC 56,893 $17.61M 0.64%
35 PETROCHINA-H 12,574,000 $17.25M 0.63%
36 GERMANY FEDERAL REPUBLIC OF 0% 08/15/2030 REGS BB73 16,633,000 $17.13M 0.62%
37 JAPAN GOVT 5-YR 2,802,000,000 $17.08M 0.62%
38 MASTERCARD INC CL A 34,070 $17.02M 0.62%
39 SUNCOR ENERGY INC 257,225 $17.01M 0.62%
40 ASIAN DEV BANK 16,478,000 $16.50M 0.60%
41 United Kingdom Gilt 4.50 12/07/2042 UKT 13,370,859 $16.02M 0.58%
42 Uniform Mortgage-Backed Securities FHLMC 16,043,035 $15.89M 0.58%
43 NETEASE INC 708,800 $15.84M 0.58%
44 CATERPILLAR INC 20,567 $14.57M 0.53%
45 WALMART INC 117,219 $14.57M 0.53%
46 UNITED KINGDOM GILT GBP REG S 4.375% 03-07-30 UKT 11,002,284 $14.54M 0.53%
47 HOYA CORP 83,315 $14.44M 0.53%
48 ASTRAZENECA PLC 73,761 $14.42M 0.52%
49 US TREASURY N/B 13,796,500 $13.45M 0.49%
50 CANADIAN GOVERNMENT BOND 19,081,000 $13.25M 0.48%
1 / 6 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.