Valuation: Franklin Limited Duration Income Trust

Market Cap 236M 206M 190M 175M 330M 22.69B 337M 2.27B 893M 11.11B 885M 865M 38.25B P/E 2024
13.4x
P/E 2025 14.5x
Enterprise Value 325M 284M 262M 242M 456M 31.35B 466M 3.14B 1.23B 15.35B 1.22B 1.2B 52.85B EV / Sales 2024
10x
EV / Sales 2025 10.3x
Free-Float
100%
Yield 2024
11.1%
Yield 2025 12%
1 day-0.43%
1 week+0.17%
Current month+0.69%
3 months-2.18%
6 months-6.27%
Current year-5.20%
1 week 5.8
Extreme 5.795
5.87
1 month 5.7
Extreme 5.705
5.87
Current year 5.7
Extreme 5.7
6.29
1 year 5.7
Extreme 5.7
6.52
3 years 5.57
Extreme 5.57
6.83
5 years 5.57
Extreme 5.57
9.43
10 years 5.56
Extreme 5.56
12.45
Manager TitleAgeSince
Director of Finance/CFO 52 01/01/2022
Compliance Officer 75 01/06/2023
Chief Investment Officer 63 01/12/2018
Director TitleAgeSince
Director/Board Member 72 01/12/2009
Director/Board Member 94 22/07/2010
Director/Board Member 73 22/07/2010
Change 5-day change 1-year change 3-year change Capi.($)
-0.43%+0.17%-10.03%-6.27% 237M
+1.03%-2.48%+18.35%+99.28% 14.23B
+0.89%-6.09%+41.38%+112.24% 11.3B
-2.21%-0.05%-6.98%+32.52% 9.27B
-0.55%-2.10%-13.35%-13.77% 7.59B
+1.20%-3.89%+27.93%+111.80% 7.21B
-1.35%-3.90%+13.55%+58.82% 6.37B
0.00%+2.49%+13.50%+26.33% 4.86B
-0.18%+1.47%+14.12%+8.85% 4.18B
-2.96%-2.19% - - 3.82B
Average -0.46%-0.98%+10.94%+47.76% 6.91B
Weighted average by Cap. -0.17%-1.63%+14.91%+64.71%

Financials

2024 2025
Net sales 37M 32.33M 29.84M 27.5M 51.84M 3.56B 52.99M 357M 140M 1.75B 139M 136M 6.01B 32.91M 28.76M 26.54M 24.47M 46.11M 3.17B 47.14M 317M 125M 1.55B 124M 121M 5.34B
Net income 20.02M 17.5M 16.15M 14.88M 28.05M 1.93B 28.67M 193M 75.9M 944M 75.19M 73.54M 3.25B 17.08M 14.93M 13.77M 12.7M 23.93M 1.64B 24.46M 165M 64.75M 806M 64.14M 62.73M 2.77B
Net Debt 103M 90.2M 83.23M 76.72M 145M 9.94B 148M 995M 391M 4.87B 388M 379M 16.76B 89.93M 78.59M 72.52M 66.85M 126M 8.66B 129M 867M 341M 4.24B 338M 330M 14.6B
Logo Franklin Limited Duration Income Trust
Franklin Limited Duration Income Trust (the Fund) is a closed-end management investment company. The Fund's primary objective is to provide high, current income, with a secondary objective of capital appreciation. The Fund invests in a diversified mix of fixed income securities, primarily high yield corporate bonds, floating-rate corporate loans and mortgage-and other asset-backed securities. It invests in various sectors, which include Diversified Telecommunication Services, Hotels, Restaurants & Leisure, Metals & Mining, Oil, Gas & Consumable Fuels, Pharmaceuticals, Software, Automobile Components, Automobiles, Biotechnology, Broadline Retail, Building Products, Chemicals, Commercial Services & Supplies, Electric Utilities, Entertainment, Financial Services, Food Products, Health Care Providers & Services, Health Care Technology, and others. The Fund's investment manager is Franklin Advisers, Inc.
Employees
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Date Price Change Volume
17/07/26 $5.830 -0.43% 235,150
16/07/26 $5.855 +0.09% 116,485
15/07/26 $5.850 +0.52% 176,636
14/07/26 $5.820 +0.34% 181,167
13/07/26 $5.800 -0.17% 316,311