C000067995 Holdings — JNL/Franklin Templeton Income Fund

All 270 reported holdings of JNL/Franklin Templeton Income Fund (C000067995) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Jackson National Asset Management, LLC3.06%$43.24M
BNP Paribas Issuance B.V.2.51%$35.46M
Exxon Mobil Corporation1.94%$27.34M
Procter & Gamble Company, The1.92%$27.13M
Chevron Corporation1.82%$25.69M
Cisco Systems, Inc.1.58%$22.32M
Community Health Systems, Inc.1.48%$20.93M
Tenet Healthcare Corporation1.42%$20.12M
The Southern Company1.42%$20.10M
Treasury, United States Department of1.41%$19.93M
Treasury, United States Department of1.30%$18.36M
AbbVie Inc.1.16%$16.36M
PepsiCo, Inc.1.10%$15.57M
JNL Government Money Market Fund1.09%$15.34M
Air Products and Chemicals, Inc.1.04%$14.66M
Union Pacific Corporation0.96%$13.60M
J.P. Morgan Structured Products B.V.0.92%$13.05M
Merrill Lynch S.A.0.91%$12.89M
Merck & Co., Inc.0.91%$12.85M
Johnson & Johnson0.90%$12.70M
Duke Energy Corporation0.90%$12.66M
Community Health Systems, Inc.0.89%$12.64M
Home Depot, Inc., The0.87%$12.34M
Coca-Cola Company, The0.86%$12.19M
Abbott Laboratories0.84%$11.80M
Pfizer Inc.0.80%$11.32M
Citigroup Inc.0.79%$11.19M
Treasury, United States Department of0.79%$11.19M
Federal Home Loan Mortgage Corporation0.77%$10.91M
Toronto-Dominion Bank, The0.70%$9.84M
Shell PLC0.69%$9.69M
Mizuho Markets Cayman LP0.66%$9.34M
SLB Limited0.66%$9.30M
NRG Energy, Inc.0.64%$8.99M
Barclays PLC0.62%$8.73M
HCA Inc.0.61%$8.68M
Goldman Sachs Group, Inc., The0.61%$8.65M
International Business Machines Corporation0.60%$8.44M
CVS Health Corporation0.59%$8.27M
Nestle S.A.0.58%$8.22M
Vistra Corp.0.57%$8.04M
Merrill Lynch S.A.0.55%$7.77M
Lockheed Martin Corporation0.54%$7.64M
Mizuho Markets Cayman LP0.54%$7.64M
Barclays Bank PLC0.53%$7.54M
NextEra Energy, Inc.0.53%$7.46M
Texas Instruments Incorporated0.53%$7.45M
Treasury, United States Department of0.53%$7.45M
Treasury, United States Department of0.53%$7.45M
Boeing Company, The0.52%$7.40M
Venture Global LNG, Inc.0.52%$7.32M
Community Health Systems, Inc.0.51%$7.18M
Sempra0.49%$6.95M
Oracle Corporation0.48%$6.74M
BlackRock, Inc.0.48%$6.73M
Citigroup Global Markets Holdings Inc.0.47%$6.61M
ArcelorMittal0.47%$6.58M
Wells Fargo Bank, National Association0.45%$6.38M
Federal Home Loan Mortgage Corporation0.44%$6.28M
Federal National Mortgage Association, Inc.0.44%$6.28M
Federal Home Loan Mortgage Corporation0.44%$6.28M
Federal National Mortgage Association, Inc.0.44%$6.26M
Venture Global LNG, Inc.0.44%$6.25M
Toronto-Dominion Bank, The0.44%$6.24M
Wells Fargo & Company0.44%$6.15M
Capital One Financial Corporation0.43%$6.02M
The Southern Company0.43%$6.01M
United Rentals (North America), Inc.0.42%$5.97M
Barclays Bank PLC0.42%$5.95M
Amazon.com, Inc.0.42%$5.94M
General Motors Company0.40%$5.72M
Bank of America Corporation0.40%$5.70M
RTX Corporation0.40%$5.69M
Mizuho Markets Cayman LP0.40%$5.63M
Microsoft Corporation0.40%$5.60M
Barclays PLC0.39%$5.58M
Merrill Lynch S.A.0.39%$5.48M
United Parcel Service, Inc.0.38%$5.43M
Philip Morris International Inc.0.38%$5.43M
DexKo Global Inc.0.38%$5.43M
Toronto-Dominion Bank, The0.38%$5.39M
TransDigm Inc.0.38%$5.35M
Ubs AG0.38%$5.34M
Merrill Lynch S.A.0.38%$5.30M
TransDigm Inc.0.36%$5.13M
Mauser Packaging Solutions Holding Company0.36%$5.10M
Verizon Communications Inc.0.36%$5.08M
XCEL Energy Inc.0.36%$5.06M
Government National Mortgage Association0.36%$5.05M
Carnival Corporation0.36%$5.05M
Venture Global Plaquemines LNG, LLC0.36%$5.05M
Caesars Entertainment, Inc.0.36%$5.02M
Wynn Resorts Finance, LLC0.36%$5.02M
CCO Holdings, LLC0.35%$4.98M
Mauser Packaging Solutions Holding Company0.35%$4.94M
CCO Holdings, LLC0.35%$4.94M
JPMorgan Chase & Co.0.35%$4.91M
Calumet Specialty Products Partners, L.P.0.34%$4.87M
Government National Mortgage Association0.34%$4.84M
Rain Carbon Inc.0.34%$4.80M
Beach Acquisition Bidco, LLC0.34%$4.79M
U.S. Bancorp0.33%$4.69M
Pilgrim's Pride Corporation0.33%$4.69M
ConocoPhillips0.33%$4.68M
Treasury, United States Department of0.33%$4.66M
Centene Corporation0.33%$4.65M
Treasury, United States Department of0.33%$4.64M
Morgan Stanley Finance II Ltd0.33%$4.61M
SkyMiles IP Ltd.0.32%$4.58M
Ares Management Corporation0.32%$4.58M
Williams Companies, Inc., The0.32%$4.53M
NRG Energy, Inc.0.32%$4.49M
Ardagh Group S.A.0.32%$4.46M
CCO Holdings, LLC0.31%$4.41M
Alphabet Inc.0.31%$4.33M
Medtronic, Inc.0.30%$4.30M
Comcast Corporation0.30%$4.30M
Alphabet Inc.0.30%$4.28M
Ardagh Group S.A.0.30%$4.23M
Fifth Third Bancorp0.30%$4.23M
PNC Financial Services Group, Inc., The0.30%$4.21M
Tronox Incorporated0.30%$4.20M
Sword Purchaser, LLC0.29%$4.14M
JBS USA Food Company0.29%$4.10M
Celanese US Holdings LLC0.29%$4.09M
Beignet Investments, LLC0.29%$4.09M
Kinder Morgan Kansas, Inc.0.29%$4.07M
United Rentals (North America), Inc.0.29%$4.06M
Merrill Lynch S.A.0.29%$4.05M
McDonald's Corporation0.29%$4.05M
Morgan Stanley0.28%$4.02M
Morgan Stanley Finance II Ltd0.28%$4.02M
Clear Channel Outdoor Holdings, Inc.0.28%$4.00M
Ford Motor Credit Company LLC0.28%$4.00M
American Airlines, Inc.0.28%$4.00M
Target Corporation0.28%$3.98M
The Southern Company0.28%$3.98M
United Airlines Pass Through Certificates, Series 2015-10.28%$3.94M
Hologic Inc0.28%$3.94M
Bristol-Myers Squibb Company0.28%$3.92M
Boeing Company, The0.28%$3.90M
Mozart Debt Merger Sub Inc.0.28%$3.88M
Freeport-McMoRan Inc.0.27%$3.77M
General Motors Financial Company, Inc.0.26%$3.72M
Royal Bank of Canada0.26%$3.71M
Government National Mortgage Association0.26%$3.70M
Royal Bank of Canada0.26%$3.68M
Barclays Bank PLC0.26%$3.64M
Amgen Inc.0.26%$3.62M
CVS Health Corporation0.25%$3.56M
Citigroup Inc.0.25%$3.50M
Salesforce, Inc.0.25%$3.49M
PR RNO Property Owner 1, LLC0.25%$3.49M
Government National Mortgage Association0.24%$3.45M
Tronox Incorporated0.24%$3.41M
Clydesdale Acquisition Holdings, Inc.0.24%$3.39M
Oracle Corporation0.24%$3.39M
Davita Inc.0.24%$3.39M
Albemarle Corporation0.24%$3.32M
Citigroup Global Markets Holdings Inc.0.23%$3.31M
Scih Salt Holdings Inc.0.23%$3.25M
Wells Fargo Bank, National Association0.23%$3.24M
Ford Motor Credit Company LLC0.22%$3.17M
Caesars Entertainment, Inc.0.22%$3.17M
JetBlue Airways Corporation0.22%$3.17M
Endo Finance Holdings, Inc.0.22%$3.15M
JPMorgan Chase & Co.0.22%$3.14M
TotalEnergies SE0.22%$3.11M
Federal Home Loan Mortgage Corporation0.22%$3.10M
Ford Motor Company0.22%$3.09M
B.A.T Capital Corporation0.22%$3.08M
Quikrete Holdings, Inc.0.22%$3.06M
Boeing Company, The0.21%$3.04M
Fortescue Treasury Pty Ltd0.21%$3.03M
Federal National Mortgage Association, Inc.0.21%$3.02M
Talen Energy Supply, LLC0.21%$3.00M
Goldman Sachs Private Credit Corp.0.21%$2.97M
American Airlines, Inc.0.21%$2.96M
Fertitta Entertainment LLC0.21%$2.94M
Federal Home Loan Mortgage Corporation0.21%$2.92M
UnitedHealth Group Incorporated0.21%$2.91M
Federal Home Loan Mortgage Corporation0.21%$2.90M
Fortescue Treasury Pty Ltd0.20%$2.86M
United Airlines Pass Through Certificates, Series 2015-10.20%$2.83M
Federal National Mortgage Association, Inc.0.19%$2.72M
Morgan Stanley0.19%$2.71M
Salesforce, Inc.0.19%$2.66M
Vistra Operations Company LLC0.19%$2.61M
Venture Global Plaquemines LNG, LLC0.18%$2.60M
Government National Mortgage Association0.18%$2.59M
Honeywell International Inc.0.18%$2.57M
General Motors Company0.18%$2.56M
Starbucks Corporation0.18%$2.55M
Honeywell Aerospace Inc.0.18%$2.54M
Tenet Healthcare Corporation0.18%$2.52M
Cleveland-Cliffs Inc.0.18%$2.50M
Cleveland-Cliffs Inc.0.18%$2.48M
Pacific Gas and Electric Company0.17%$2.46M
Weatherford International Ltd0.17%$2.44M
Caesars Entertainment, Inc.0.17%$2.43M
Cloud Software Group, Inc.0.17%$2.43M
Cloud Software Group, Inc.0.17%$2.42M
Ubs AG0.16%$2.30M
Venture Global LNG, Inc.0.15%$2.13M
Morgan Stanley0.15%$2.13M
McAfee Corp.0.15%$2.12M
Occidental Petroleum Corporation0.15%$2.11M
Ubs AG0.15%$2.09M
R. R. Donnelley & Sons Company0.15%$2.07M
Oracle Corporation0.15%$2.05M
Nike, Inc.0.15%$2.05M
JPMorgan Chase & Co.0.14%$2.05M
Occidental Petroleum Corporation0.14%$2.04M
EMRLD Borrower LP0.14%$2.04M
Opal Bidco SAS0.14%$2.04M
Asurion LLC0.14%$2.02M
RD Michigan Property Owner I LLC0.14%$2.00M
Cleveland-Cliffs Inc.0.14%$2.00M
Wynn Las Vegas, LLC0.14%$2.00M
Opal Bidco SAS0.14%$1.99M
Federal Home Loan Mortgage Corporation0.14%$1.97M
Blackstone Private Credit Strategies LLC0.14%$1.97M
Blackstone Private Credit Strategies LLC0.14%$1.97M
Hilcorp Energy I, L.P.0.14%$1.97M
Truist Financial Corporation0.14%$1.96M
Alcoa Nederland Holding B.V.0.14%$1.94M
Ubs AG0.14%$1.91M
Government National Mortgage Association0.13%$1.85M
Federal Home Loan Mortgage Corporation0.12%$1.71M
Organon & Co.0.11%$1.60M
JPMorgan Chase & Co.0.11%$1.60M
Newell Brands Inc.0.11%$1.57M
Fertitta Entertainment LLC0.11%$1.55M
QXO Building Products, Inc.0.11%$1.54M
Venture Global Plaquemines LNG, LLC0.11%$1.53M
Weatherford International Ltd0.11%$1.53M
QXO Building Products, Inc.0.11%$1.53M
Genmab A/S0.11%$1.53M
Millrose Properties, Inc.0.11%$1.52M
Univision Communications Inc.0.11%$1.52M
Wells Fargo & Company0.11%$1.52M
Verizon Communications Inc.0.11%$1.52M
JH North America Holdings Inc.0.11%$1.49M
Matador Resources Company0.11%$1.49M
Ares Capital Corporation0.11%$1.49M
Organon & Co.0.10%$1.48M
Organon & Co.0.10%$1.48M
Equipmentshare.Com Inc0.10%$1.47M
PPL Corporation0.10%$1.47M
KeyBank National Association0.10%$1.47M
Ares Strategic Income Fund0.10%$1.46M
Clydesdale Acquisition Holdings Inc0.10%$1.42M
United Airlines Pass Through Trust 2020-1A0.10%$1.42M
Herc Holdings Inc.0.09%$1.29M
Government National Mortgage Association0.09%$1.24M
Community Health Systems, Inc.0.07%$1.04M
TransDigm Inc.0.07%$1.03M
NCL Corporation Ltd.0.07%$996.57K
Coreweave, Inc.0.07%$988.40K
Hologic Inc.0.07%$977.71K
Goldman Sachs Group, Inc., The0.07%$974.36K
Asurion LLC0.07%$926.25K
MPH Acquisition Holdings LLC0.06%$887.08K
Qnity Electronics, Inc.0.05%$762.71K
Qnity Electronics, Inc.0.05%$753.75K
Calumet Specialty Products Partners, L.P.0.04%$528.68K
Genmab A/S0.04%$521.25K
Venture Global Calcasieu Pass, LLC0.04%$500.90K
Federal National Mortgage Association, Inc.0.03%$437.43K
KKR & Co. Inc.0.03%$398.50K

C000067995 overview: performance, fees, allocation and SEC filings