Franklin Templeton Investments

<GAIN FROM OUR PERSPECTIVE>
Franklin Templeton Limited Duration Income Trust
FTF : Trading symbol
Closed-End Funds
Investment Objective

The Fund invests primarily in mortgage-backed securities and other asset-backed securities; floating rate bank loans; and high yield corporate bonds.



Transfer Agent
PNC Global Investment Servicing
P.O. Box 43027
Providence, RI 02940-3027
Phone: (800) 331-1710
 
Investor Documents
Press Release Archive
Semiannual report
 (498K)
Annual report
 (537K)
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Fund Facts
Initial offering 24,600,000
(shares of common stock/beneficial interest)
Initial offering price $15.00
Inception date August 27, 2003
CUSIP number 354 72T 101
Fund 3637
Current total net assets (millions)
as of July 31, 2010
(updated monthly)

$362.5
Prices as of September 09, 2010
(updated daily)
Previous closing price $13.36
Discount/premium -1.47%
Net Asset Value $13.56
NAV change $0.01
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.