C000168048 Holdings — Franklin Focused Growth Fund

All 39 reported holdings of Franklin Focused Growth Fund (C000168048) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp.com Usd0.0019.49%$425.79K
Amazon.com Inc.com Usd.018.65%$388.05K
Alphabet Inc.com Usd.001 Cl A4.48%$200.91K
Servicenow Inc.com Usd.0014.40%$197.62K
Mastercard Inc.com Usd.0001 Cl A4.33%$194.08K
Visa Inc.com USD Npv Cl A4.19%$187.90K
Facebook Inc.com USD Npv Cl A3.66%$164.20K
Salesforce.com Inc.com Usd.0013.62%$162.64K
Danaher Corp.com Usd.013.42%$153.48K
Adobe Inc.com USD 0.00013.38%$151.71K
Costco Wholesale Corp.com Usd.0052.88%$129.32K
Tencent Holdings Ltd. Ord Hkd 0.0000202.69%$120.50K
Intuitive Surgical Inc.com Usd.0012.63%$118.23K
Estee Lauder Companies Inc.com Usd.012.30%$103.27K
Charter Communications Inc.com Usd.001 Cl A2.16%$97.02K
Nextera Energy Inc.com Usd.012.16%$96.86K
Crown Castle International Corp. REIT USD Npv2.14%$95.95K
Analog Devices Inc.com Usd.1672.12%$95.07K
Idexx Laboratories Inc.com Usd.12.04%$91.40K
Xilinx Inc.com Usd0.012.00%$89.66K
Abbott Laboratories.com Npv1.94%$86.86K
Veeva Systems Inc.com Usd.00001 Cl A1.88%$84.40K
NVIDIA Corp.com Usd.0011.84%$82.36K
Adyen NV ORD EUR 0.011.83%$81.98K
Paypal Holdings Inc.com Usd.00011.81%$81.13K
Shopify, Inc. Ord Cad Npv Cl A1.77%$79.52K
Nike Inc.com B Npv1.69%$75.98K
Verisk Analytics Inc.com Usd.0011.66%$74.67K
Netflix Inc.com Usd.0011.66%$74.42K
Cme Group Inc.com Usd.011.34%$60.22K
Costar Group Inc.com Usd.011.33%$59.83K
Mercadolibre Inc.com USD Npv1.27%$57.19K
Raytheon Co. New.com Npv1.22%$54.94K
Alibaba Group Holding Ltd. Sponsored ADR1.18%$53.02K
Illumina Inc.com Usd.011.11%$49.76K
Fortive Corp.com Usd.011.02%$45.83K
Roper Technologies Inc.com Usd0.011.00%$44.99K
Boeing Co.com Usd50.99%$44.63K
Ift Money Market Portfolio Oemf-Sweep Money Market Portfolio0.40%$17.90K

C000168048 overview: performance, fees, allocation and SEC filings