MEURX
Franklin Mutual International Value Fund
Franklin Mutual Series Funds

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ROCHE HOLDING AG 0 106,933 106,933 3.55% $42.68M
SSE PLC 0 709,195 709,195 2.04% $24.52M
ALLIANZ SE (REGD) 0 47,594 47,594 1.67% $20.10M
DANONE SA 0 245,125 245,125 1.63% $19.59M
RELX PLC 0 398,317 398,317 1.09% $13.05M
RECKITT BENCKISE 0 155,741 155,741 0.87% $10.47M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ROCHE HOLDINGS AG (GENUSSCHEINE) 106,933 0 -106,933 0.00% -$44.16M
SLB LTD 577,791 0 -577,791 0.00% -$22.18M
CAPGEMINI SE 132,733 0 -132,733 0.00% -$22.04M
DENSO CORP 1,301,127 0 -1,301,127 0.00% -$17.97M
NATIONAL GRID PL 957,009 0 -957,009 0.00% -$14.68M
NESTLE SA (REG) 133,720 0 -133,720 0.00% -$13.27M
CIE FINANCI-REG 58,041 0 -58,041 0.00% -$12.52M
MITSUB ELEC CORP 389,464 0 -389,464 0.00% -$11.36M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BP PLC 4,943,623 5,465,424 521,801 3.56% $13.95M
SHELL PLC 686,167 772,306 86,139 2.98% $10.48M
HSBC HOLDINGS PL 1,483,364 2,018,165 534,801 2.76% $9.80M
HALEON PLC 5,959,260 6,459,329 500,069 2.66% $1.85M
Prudential Public Limited Company 2,001,079 2,094,423 93,344 2.42% -$1.66M
ST JAMES S PLACE PLC 1,115,907 1,595,112 479,205 2.09% $4.44M
PAN PACIFIC INTERNATIONAL HOLDINGS LTD 3,788,831 4,120,508 331,677 2.09% $2.57M
MONDI PLC COMMON STOCK 1,812,594 2,129,244 316,650 2.00% $1.96M
Airbus SE 102,049 114,336 12,287 1.80% -$2.08M
NATWEST GROUP PLC 2,429,180 2,826,378 397,198 1.74% -$371.79K
DEUTSCHE BANK-RG 658,484 685,792 27,308 1.70% -$4.97M
STELLANTIS NV 2,408,035 2,677,071 269,036 1.61% -$7.02M
HELLENIC TELECOM 953,351 1,023,525 70,174 1.61% $417.66K
OLYMPUS CORP 1,478,393 1,838,694 360,301 1.46% -$1.23M
BABCOCK INTL GRP 903,082 1,040,994 137,912 1.35% $1.11M
SONY GROUP CORP 479,438 702,664 223,226 1.22% $2.35M
NXP SEMICONDUCTORS NV 53,104 70,865 17,761 1.16% $2.42M
POUND STERLING 615,494 1,171,005 555,510 0.13% $720.29K
Yen -6 35,275,156 35,275,162 0.02% $222.27K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
UNICREDIT SPA 435,565 419,611 -15,954 2.51% -$5.97M
Novartis AG (Registered) 220,460 185,236 -35,224 2.37% -$1.95M
BRITISH AMERICAN TOBACCO PLC 483,701 462,678 -21,023 2.24% -$558.78K
COCA-COLA BOTTLE 1,224,832 1,021,644 -203,188 1.93% -$1.57M
AERCAP HOLDINGS NV 172,147 162,988 -9,159 1.86% -$2.39M
ZABKA GROUP SA 3,695,794 3,500,827 -194,967 1.74% -$2.56M
ARCELORMITTAL 558,445 394,553 -163,892 1.70% -$5.18M
METSO OUTOTEC OY 1,288,366 1,159,529 -128,837 1.67% -$2.32M
MONDELEZ INTL INC 352,426 333,443 -18,983 1.60% $248.56K
MIZUHO FINANCIAL 504,984 473,769 -31,215 1.60% $750.78K
Franklin Institutional US Government Money Market Fund 25,268,998 18,829,078 -6,439,920 1.57% -$6.44M
SBI HOLDINGS INC 836,574 780,667 -55,907 1.20% -$3.57M
NORSK HYDRO ASA 2,168,836 1,339,173 -829,663 1.19% -$2.47M
CNH INDUSTRIAL NV 1,352,652 1,230,926 -121,726 1.13% $1.07M
ASAHI GROUP HOLDINGS LTD COMMON STOCK 1,712,735 1,227,408 -485,327 1.02% -$5.70M
ING GROEP NV 677,697 442,273 -235,424 0.96% -$7.57M
FX Spot Contract: EUR/USD SETTLE 2026-01-05 92,289 -0 -92,289 0.00% -$108.46K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BNP PARIBAS 353,513 353,513 0 2.80% $232.11K
DEUTSCHE TELEKOM 819,713 819,713 0 2.55% $3.91M
MITSUBISHI UFJ F 1,674,753 1,674,753 0 2.36% $1.78M
BASF SE COMMON STOCK 457,302 457,302 0 2.34% $4.10M
AVIVA PLC 3,113,166 3,113,166 0 2.08% -$3.64M
DBS GROUP HLDGS 554,798 554,798 0 2.05% $385.85K
CAIXABANK SA 2,033,660 2,033,660 0 2.03% -$484.96K
TOYOTA MOTOR CORP 1,171,201 1,171,201 0 2.03% -$807.83K
ASR NEDERLAND NV 350,645 350,645 0 2.01% -$807.87K
SAINT GOBAIN 270,588 270,588 0 1.86% -$5.11M
KPN (KONIN) NV 3,959,296 3,959,296 0 1.84% $3.57M
RENK GROUP AG 348,743 348,743 0 1.74% -$889.18K
TENCENT HOLDINGS LTD 294,307 294,307 0 1.55% -$4.02M
UNILEVER PLC 278,510 278,510 0 1.27% -$2.91M
Won 37 37 0 0.00% -$0
SWISS FRANC -0 -0 0 0.00% $0

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