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IE000TNQEFH3

FTGF Franklin Ultra Short Duration Income Fund

As of 31/10/2025

NAV 1

$100,29

 
 

NAV Change 1

$-0,01

(-0,01%)
As of 30/09/2025

Morningstar Overall Rating™ 2

USD Ultra Short-Term Bond

Overview

Summary of Fund Objective

To seek to maximise income and growth of capital (total return), while maintaining a high degree of capital preservation. The Fund mainly invests in short duration, investment-grade fixed-income securities. Such investments include US corporate and government bonds, money market instruments, mortgage and asset-backed securities.

What Are The Key Risks?

The Fund does not offer any capital guarantee or protection and you may not get back the amount invested.

  • The Fund is subject to the following risks which are materially relevant:
    Credit risk: the risk of loss arising from default that may occur if an issuer fails to make principal or interest payments when due. This risk is higher if the Fund holds low-rated, sub-investment-grade securities.
    Mortgage-backed securities: The timing and size of the cash-flow from Mortgage-backed securities is not fully assured and could result in loss for the fund. These types of investments may also be difficult for the fund to sell quickly.
    Asset-backed securities: The timing and size of the cash-flow from asset-backed securities is not fully assured and could result in loss for the fund. These types of investments may also be difficult for the fund to sell quickly.
    Interest rates: Changes in interest rates may negatively affect the value of the fund. Typically as interest rates rise, bond values fall.
    Liquidity: In certain circumstances it may be difficult to sell the fund's investments because there may not be enough demand for them in the markets, in which case the fund may not be able to minimise a loss on such investments.

Complete information on the risks of investing in the Fund are set out in the Fund's prospectus.

Fund Information
Total Net Assets  As of 30/09/2025 (Updated Monthly)
$1,29 Billion
Fund Inception Date 
04/04/2025
Share Class Inception Date 
04/04/2025
Inception Date (Performance) 
19/12/2016
Base Currency for Fund 
USD
Base Currency for Share Class 
USD
Benchmark 
ICE BofA US Treasury Bill
Asset Class 
Fixed Income
Investment Manager 
Franklin Templeton Fixed Income
Investment Vehicle 
Franklin Templeton Global Funds plc
Domicile 
Ireland
EU SFDR Category 
Article 6
Minimum Investment 
USD 1000
Dividends & Yields
Distribution Frequency 
Daily
Distribution Amount  As of 30/09/2025
$0,3270
Payable Date  As of 30/09/2025
01/10/2025
Distribution Rate at NAV  As of 31/10/2025
4,02%
Charges 4
Initial Charge  As of 30/09/2025
1,50%
Ongoing Charges Figure3  As of 30/09/2025
0,60%
Identifiers
ISIN Code 
IE000TNQEFH3
Bloomberg Code 
FTFUAUD ID
SEDOL Code 
BS44HN5
CUSIP Code 
G3R0KS872
Fund Number 
C01

Fund Managers

Joanne M Driscoll, CFA®

Massachusetts, United States

Managed Fund Since 2025

Michael J Lima, CFA®

Massachusetts, United States

Managed Fund Since 2025

Andrew C Benson

Massachusetts, United States

Managed Fund Since 2025

Michael V Salm

Massachusetts, United States

Managed Fund Since 2025

Performance

Portfolio

Portfolio Holdings

Holdings

As of 30/09/2025 Updated Monthly
Security Name 
Net Cash
Weight (%) 
3,29
Market Value 
42 430 689
Security Name 
VOLKSWAGEN GRP AMERI P/P 144A 04.9000 08/14/2026
Weight (%) 
0,50
Market Value 
6 451 533
Security Name 
BANK OF MONTREAL USD 05.0647 09/10/2027
Weight (%) 
0,48
Market Value 
6 227 653
Security Name 
CAIXABANK SA P/P 144A 06.6840 09/13/2027
Weight (%) 
0,48
Market Value 
6 209 138
Security Name 
UBS GROUP AG P/P 144A 04.2820 01/09/2028
Weight (%) 
0,46
Market Value 
5 945 825
Security Name 
ALIMENTATION COUCHE-TARD 01626UX67 DCP 10/06/2025
Weight (%) 
0,46
Market Value 
5 952 717
Security Name 
NATIONAL BANK OF CANADA USD 05.6000 07/02/2027
Weight (%) 
0,45
Market Value 
5 788 746
Security Name 
CREDIT AGRICOLE SA P/P 144A 04.6310 09/11/2028
Weight (%) 
0,45
Market Value 
5 803 965
Security Name 
BOEING CO 02.1960 02/04/2026
Weight (%) 
0,45
Market Value 
5 800 477
Security Name 
CITIGROUP INC. 05.0675 03/04/2029
Weight (%) 
0,45
Market Value 
5 793 578

These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 

Dividends

Dividends Per Share

Share Class  
A USD DIS (D)
Currency  
USD
Record Date  
30/09/2025
Ex-Distribution Date  
30/09/2025
Payable Date  
01/10/2025
NAV  
$100,31
Distribution Amount  
$0,3270

The Fund launched on 4 April 2025 following the merger of Putnam Ultra Short Duration Income Fund (the ''Merging Fund'') which had an equivalent and comparable investment policy and risk profile. However, this Share Class launched at an initial price of USD 100 and accordingly, the difference in NAV is reflective of the difference in closing NAV of the respective Share Class of the Merging Fund and the launch NAV of the Share Class.

Pricing

Pricing History Chart

As of 31/10/2025 Updated Daily

Share Prices

As of 31/10/2025
NAV1 (Net Asset Value)
$100,29
NAV Change1 
$-0,01
NAV Change (%)1 
-0,01%

Documents

Product Literature

PDF Format

Fact Sheet - FTGF Franklin Ultra Short Duration Income Fund (A USD DIS (D))

PDF Format

Portfolio Holdings - FTGF Franklin Ultra Short Duration Income Fund

Regulatory Documents

PDF Format

Prospectus (Main) - Franklin Templeton Global Funds plc

PDF Format

Dokument med central information - FTGF Franklin Ultra Short Duration Income Fund A USD DIS (D)

PDF Format

Key Information Documents (Denmark - English) - FTGF Franklin Ultra Short Duration Income Fund A USD DIS (D)

PDF Format

Annual Report - Franklin Templeton Global Funds plc (FTGF)

PDF Format

Semiannual Report - Franklin Templeton Global Funds plc (FTGF)

PDF Format

Re: Amendments to the Base Prospectus and to Certain Sub-Fund Supplements

PDF Format

Forms And Applications - Franklin Templeton Global Funds plc Initial Application Form

PDF Format

Redemption Form - Franklin Templeton Global Funds plc