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Franklin Limited Duration Income Trust
FTF
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US Flag

AMEX

266M

Asset Management - Income

6.58USD
Shape0.01 ( 0.08%)
Market Open
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Relative Strenght

36
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Volume Buzz

-78%
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Earning Acce

No
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Dist 52w H.

4%

Quote Panel

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Updated October 18, 2024
1W -1.58 % 1M -0.54 % 3M 0.67 % 1Y 21.70 %

Key Metrics

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  • Market Cap

    266.07M


  • Shares Outstanding

    40.41M


  • Share in Float

    36.65M


  • Dividende

    0.73


  • Earning Date

    No Data


  • Price Target

    6.585


  • Average Volume

    237476


  • Beta

    0.537


  • Range

    5.76-6.83


  • Industry

    Asset Management - Income


  • Website

    https://www.franklintempleton.com/investor/products/mutual-funds/overview?FundID=3637


  • Sector

    Financial Services


Fundamentals

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7.21x

P/E Ratio

6.80x

P/S Ratio

0.93x

P/B Ratio

0.4

Debt/Equity

94.4%

Net Margin

$0.7

EPS

How FTF compares to sector?

P/E Ratio

Relative Strength

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FTF

Sector

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Top 5 RS in Group

Symbol

Company

RS

5-Day Perf.

Forecast

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No Data Available

Analyst rating

No Data Available

Last analyst upgrade/downgrade

No Data Available

Earnings GrowthShape

status-upYoY

Current

Estimates

Q2.21

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N/A

1
vs 1

Q4.21

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N/A

1
vs 1

Q4.22

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-87%

0.13
vs 1

Q1.23

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N/A

0.2
vs NA

Q2.23

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N/A

0.39
vs NA

Q3.23

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N/A

0.22
vs NA

Q4.23

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+241%

0.44
vs 0.13

Q1.24

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-35%

0.13
vs 0.2

Q2.24

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-68%

0.13
vs 0.39

Q3.24

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+600%

1.54
vs 0.22

Sales GrowthShape

status-upYoY

Current

Estimates

Q2.21

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+1128%

9.1M  vs 737.2K

Q4.21

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+28%

10.8M  vs 8.5M

Q4.22

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+13%

12.2M  vs 10.8M

Q1.23

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NA

9.3M  vs NA

Q2.23

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NA

6.8M  vs NA

Q3.23

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NA

9.6M  vs NA

Q4.23

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-13%

10.6M  vs 12.2M

Q1.24

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+1%

9.4M  vs 9.3M

Q2.24

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+38%

9.4M  vs 6.8M

Q3.24

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-21%

7.6M  vs 9.6M

Return on EquityShape

status-upQoQ

Q2.22

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NA

NA
vs 0.11

Q4.22

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+2%

0.02
vs NA

Q1.23

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+3%

0.03
vs 0.02

Q2.23

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+5%

0.05
vs 0.03

Q3.23

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+3%

0.03
vs 0.05

Q4.23

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+6%

0.06
vs 0.03

Q1.24

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+2%

0.02
vs 0.06

Q2.24

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+2%

0.02
vs 0.02

Institutionnal OwnershipShape

status-upQoQ

Q3.22

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69

69
vs 72

-4%

Q4.22

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79

79
vs 69

14%

Q1.23

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80

80
vs 79

1%

Q2.23

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74

74
vs 80

-7%

Q3.23

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76

76
vs 74

3%

Q4.23

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72

72
vs 76

-5%

Q1.24

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77

77
vs 72

7%

Q2.24

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75

75
vs 77

-3%

Earnings Growth

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