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Franklin Large Cap Value Fund

 
Page Created: 2008-12-02 08:33:00-08
Fund Type: LARGE-CAP VALUE Report Date: 2008-09-29 Current Value: $40,931,525 Total Performance: -18.93 %
Family of: Franklin Value Investors Trust
 
   
 

Franklin Large Cap Value Fund
Highlights

Worst Move: Franklin Large Cap Value Fund potentially lost $-1,544,420 on changes made with International Business Machines Corp (IBM) buying shares when price went down.
Best Move: Franklin Large Cap Value Fund potentially made $327,000 on changes made with Chubb Corp (CB) buying shares when price went up.
Good Save: Franklin Large Cap Value Fund potentially saved $3,612,000 on changes made with Bank Of America Corp (BAC) selling shares when price went down.
Missed Move: Franklin Large Cap Value Fund potentially missed $250,160 on changes made with Jb Hunt Transport Services Inc(JBHT) selling shares when price went up.
 

Franklin Large Cap Value Fund
Contact Information

One Franklin Parkway, San Mateo Ca 94403-1906,,
Phone: 650-312-2000, Fax: , Website:

Franklin Large Cap Value Fund
Symbols

FBLCX
FLCRX
FLCVX
FLVAX

Franklin Large Cap Value Fund
Recent Source SEC Filings

2008-09-29 http://www.sec.gov/Archives/edgar/data/856119/0000856119-08-000013.txt
2008-07-01 http://www.sec.gov/Archives/edgar/data/856119/0000856119-08-000011.txt
 

Franklin Large Cap Value Fund
Holding and Details

Click on column headings to sort!
Stock Country Symbol Industry Current Shares Current Value Value Chng. Return Activity Shares Chng. Shares Chg.% Results
Abbott Laboratories (ABT) US ABT Medical-Drugs 14,500 $759,655 $-72,645 -8.72 % New Holding 14,500 100.00 $-72,645
Alcoa Inc (AA) US AA Metal-Aluminum 92,000 $989,920 $-977,040 -49.67 % New Holding 92,000 100.00 $-977,040
Ambac Financial Group Inc (ABK) US ABK Financial Guarante ... 67,000 $93,800 $-51,590 -35.48 % New Holding 67,000 100.00 $-51,590
American International Group Inc (AIG) US AIG Multi-Line Insuran ... 110,000 $221,100 $-53,900 -19.60 % New Holding 110,000 100.00 $-53,900
Bank Of America Corp (BAC) US BAC Super-Regional Ban ... None - - - % Sold All -258,000 -100.00 $3,612,000
Chubb Corp (CB) US CB Property/Casualty ... 75,000 $3,852,000 $327,000 9.27 % New Holding 75,000 100.00 $327,000
Entergy Corp (ETR) US ETR Electric-Integrate ... 32,500 $2,765,750 $9,100 0.33 % New Holding 32,500 100.00 $9,100
Hewlett-Packard Co (HPQ) US HPQ Computers 90,000 $3,175,200 $-834,300 -20.80 % New Holding 90,000 100.00 $-834,300
International Business Machines C ... (IBM) US IBM Computers 47,000 $3,835,200 $-1,544,420 -28.70 % New Holding 47,000 100.00 $-1,544,420
Jb Hunt Transport Services Inc (JBHT) US JBHT Transport-Truck None - - - % Sold All -59,000 -100.00 $250,160
Jc Penney Co Inc (JCP) US JCP Retail-Major Dept ... 70,000 $1,329,300 $-983,500 -42.52 % New Holding 70,000 100.00 $-983,500
Kimberly-Clark Corp (KMB) US KMB Consumer Products- ... 60,000 $3,467,400 $-348,000 -9.12 % New Holding 60,000 100.00 $-348,000
Merck And Co Incnj (MRK) US MRK Medical-Drugs 118,000 $3,152,960 $-427,160 -11.93 % New Holding 118,000 100.00 $-427,160
Metlife Inc (MET-A) US MET-A Multi-Line Insuran ... 50,000 % New Holding 50,000 100.00
Microsoft Corp (MSFT) US MSFT Applications Softw ... 148,000 $2,992,560 $-708,920 -19.15 % New Holding 148,000 100.00 $-708,920
Morgan Stanley (MS) US MS Finance-Invest Bnk ... None - - - % Sold All -135,000 -100.00 $842,400
Nordstrom Inc (JWN) US JWN Retail-Apparel/Sho ... 59,000 $670,830 $-965,240 -58.99 % New Holding 59,000 100.00 $-965,240
Norfolk Southern Corp (NSC) US NSC Transport-Rail 63,000 $3,116,610 $-1,009,890 -24.47 % New Holding 63,000 100.00 $-1,009,890
Nucor Corp (NUE) US NUE Steel-Producers 85,000 $3,032,800 $-110,500 -3.51 % New Holding 85,000 100.00 $-110,500
Office Depot Inc (ODP) US ODP Retail-Office Supp ... 245,000 $482,650 $-908,950 -65.31 % New Holding 245,000 100.00 $-908,950
Pfizer Inc (PFE) US PFE Medical-Drugs 228,000 $3,746,040 $-278,160 -6.91 % New Holding 228,000 100.00 $-278,160
Praxair Inc (PX) US PX Industrial Gases 55,000 $3,247,750 $-620,950 -16.05 % New Holding 55,000 100.00 $-620,950
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Listed 22 holdings.
 

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