Franklin Templeton Investments

<GAIN FROM OUR PERSPECTIVE>
Franklin Universal Trust
FT : Trading symbol
Closed-End Funds
Investment Objective

The Fund seeks to provide high current income consistent with preservation of capital. Its secondary objective is growth of income through dividend increases and capital appreciation.

Section 16 Filings
Insiders' Beneficial Ownership Reports for this fund are available on the SEC website.



Transfer Agent
PNC Global Investment Servicing
P.O. Box 43027
Providence, RI 02940-3027
Phone: (800) 331-1710
Service Agent
PNC Global Investment Servicing
P.O. Box 43027
Providence, RI 02940-3027
Phone: (800) 331-1710
 
Investor Documents
Press Release Archive
Semiannual report
 (432K)
Annual report
 (442K)
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Fund Facts
Initial offering 23,000,000
(shares of common stock/beneficial interest)
Initial offering price $10.00
Inception date September 23, 1988
CUSIP number 355 145 103
Fund 002
Current total net assets (millions)
as of July 31, 2010
(updated monthly)

$165.6
Prices as of September 03, 2010
(updated daily)
Previous closing price $6.27
Discount/premium -5.86%
Net Asset Value $6.66
NAV change $0.02
Important. Closed-end fund shares are traded on a stock exchange and are not offered to the public by Franklin Templeton Distributors, Inc.

For U.S. residents only.