LMIRX Holdings — Franklin International Equity Fund

All 166 reported holdings of Franklin International Equity Fund (LMIRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
ASML Holding N.V.3.20%$9.12M
Roche Holding AG2.02%$5.75M
AstraZeneca PLC2.00%$5.70M
Novartis AG1.99%$5.66M
HSBC Holdings PLC1.90%$5.42M
Nestle' Capital Markets SA1.62%$4.61M
BHP Group Ltd.1.42%$4.06M
Banco Santander SA1.42%$4.06M
Iberdrola, S.A.1.23%$3.50M
Allianz SE1.19%$3.38M
Tokyo Electron Ltd.1.19%$3.38M
Rolls-Royce Holdings PLC1.18%$3.36M
Advantest Corp.1.16%$3.30M
Short-Term Invts T1.15%$3.29M
ABB Ltd.1.14%$3.24M
GSK plc1.12%$3.19M
Sap SE1.09%$3.11M
LVMH Moet Hennessy Louis Vuitton SE1.05%$2.98M
Deutsche Telekom AG1.04%$2.96M
Sony Group Corp.1.02%$2.92M
Sanofi SA1.02%$2.90M
UniCredit S.p.A.1.01%$2.88M
Safran SA1.00%$2.85M
Axa SA0.92%$2.61M
Enel S.p.A.0.91%$2.60M
BNP Paribas SA0.88%$2.52M
L'Oreal S.A.0.88%$2.50M
Recruit Holdings Co Ltd.0.86%$2.45M
Unilever PLC0.84%$2.40M
Deutsche Bank AG0.81%$2.32M
Intesa Sanpaolo S.p.A.0.81%$2.32M
ACS Actividades De Construccion Y Servicios S.A.0.80%$2.27M
Barclays PLC0.78%$2.21M
ING Groep N.V.0.77%$2.20M
Societe Generale S.A.0.76%$2.16M
NatWest Group PLC0.76%$2.16M
Astellas Pharma Inc.0.74%$2.10M
Inpex Corp.0.73%$2.09M
AIB Group PLC0.73%$2.09M
Vodafone Group PLC0.73%$2.07M
Dhl Group0.72%$2.06M
Koninklijke Ahold Delhaize NV0.72%$2.04M
MS&AD Insurance Group Holdings Inc.0.70%$2.00M
BAE Systems PLC0.70%$2.00M
Vestas Wind Systems AS0.69%$1.97M
Centrica PLC0.69%$1.96M
Yara International ASA0.68%$1.93M
Wesfarmers Ltd.0.65%$1.85M
Wartsila Oyj Abp0.64%$1.84M
Eneos Holdings Inc0.64%$1.83M
Standard Chartered PLC0.64%$1.82M
Mercedes-Benz Group AG0.64%$1.82M
Munich Reinsurance AG0.64%$1.81M
Wh Group Ltd.0.64%$1.81M
Holcim AG0.64%$1.81M
Endesa SA - Empresa Nacional Electricidad0.63%$1.80M
3i Group PLC0.63%$1.79M
Daikin Industries Ltd.0.63%$1.79M
Next PLC0.62%$1.77M
Equinor ASA0.62%$1.76M
Aena SME S.A.0.62%$1.76M
Tokyo Gas Co Ltd0.62%$1.76M
Suzuki Motor Corp.0.62%$1.75M
Sompo Holdings Inc.0.61%$1.74M
Compagnie Financiere Richemont Sa0.61%$1.73M
Shell PLC0.61%$1.73M
Kinross Gold Corp.0.60%$1.71M
Asics Corp0.60%$1.70M
Aercap Holdings NV0.59%$1.67M
Yangzijiang Shipbuilding (holdings) Ltd.0.58%$1.66M
Ryohin Keikaku Co Ltd.0.58%$1.65M
Chugai Pharmaceutical Co Ltd.0.58%$1.64M
Sitc International Holdings Company Ltd.0.58%$1.64M
Shionogi & Co Ltd.0.58%$1.64M
Logitech International SA0.57%$1.63M
Lasertec Corp.0.57%$1.62M
International Consolidated Airlines Group SA0.57%$1.62M
Japan Post Holdings Co Ltd.0.56%$1.61M
Ipsen SA0.56%$1.60M
Rwe AG0.55%$1.58M
Fortescue Ltd.0.55%$1.56M
Japan Post Insurance Co Ltd.0.54%$1.54M
Telefonaktiebolaget LM Ericsson (publ)0.54%$1.53M
NN Group N.V.0.53%$1.52M
Asahi Kasei Corp.0.53%$1.52M
Toyota Motor Corp.0.53%$1.51M
Osaka Gas Co Ltd0.53%$1.51M
Credit Agricole S.A.0.53%$1.50M
Singapore Exchange Ltd.0.52%$1.49M
Central Japan Railway Co.0.52%$1.47M
Aegon Ltd.0.52%$1.47M
IGM Financial Inc0.51%$1.46M
Industrivarden AB (publ)0.51%$1.46M
Industria De Diseno Textil SA0.50%$1.43M
The Toronto-Dominion Bank0.50%$1.43M
GEA Group AG0.50%$1.43M
Telstra Group Ltd.0.49%$1.40M
Kingfisher PLC0.48%$1.37M
Geberit AG0.48%$1.37M
OceanaGold Corp.0.48%$1.37M
Yokogawa Electric Corporation0.47%$1.35M
Mitsubishi Electric Corp.0.46%$1.32M
Acciona SA0.45%$1.27M
Kao Corp.0.44%$1.27M
Smith & Nephew PLC0.44%$1.26M
InterContinental Hotels Group PLC0.44%$1.25M
Toyota Tsusho Corp.0.44%$1.24M
Makita Corp.0.43%$1.23M
Nice Limited0.42%$1.20M
Parex Resources, Inc.0.42%$1.18M
Check Point Software Technologies Ltd.0.41%$1.17M
Schindler Holding AG0.41%$1.17M
Mitsubishi Chemical Group Corp.0.41%$1.17M
Subaru Corp.0.41%$1.16M
ORIX Corp.0.39%$1.12M
Bandai Namco Holdings Inc.0.39%$1.11M
Altus Group Ltd0.39%$1.11M
Commonwealth Bank of Australia0.38%$1.09M
LY Corporation0.37%$1.07M
Brambles Ltd.0.37%$1.04M
Siemens AG0.37%$1.04M
Nitto Denko Corp.0.36%$1.03M
Imperial Brands PLC0.36%$1.02M
HOYA Corp.0.35%$988.15K
Panasonic Holdings Corp.0.34%$974.42K
Kone Oyj0.34%$957.67K
Tesco PLC0.34%$954.26K
Mitsubishi UFJ Financial Group Inc.0.31%$892.42K
Schneider Electric SE0.31%$870.53K
Compagnie de Saint-Gobain SA0.30%$861.89K
Eiffage SA0.30%$857.94K
Relx PLC0.29%$824.30K
AIA Group Ltd, Hong Kong0.29%$820.02K
TotalEnergies SE0.28%$808.53K
The Sage Group PLC0.28%$795.48K
Spotify Technology SA0.27%$777.31K
Hitachi Ltd.0.27%$771.52K
UBS Group AG0.26%$740.06K
Loblaws Companies Ltd.0.25%$711.75K
Pandora A/S0.23%$668.28K
Bouygues SA0.23%$660.36K
Seibu Holdings Inc0.23%$650.97K
Kioxia Holdings Corp.0.22%$613.82K
Atlas Copco AB0.20%$578.48K
National Australia Bank Ltd.0.20%$575.48K
Novo Nordisk A/S0.20%$559.38K
Autotrader Group PLC0.20%$557.20K
Airbus SE0.18%$500.67K
Fresnillo PLC0.17%$490.47K
Olympus Corp.0.17%$487.80K
Wolters Kluwer NV0.17%$486.30K
Galaxy Entertainment Group Ltd.0.17%$479.11K
Mitsubishi Heavy Industries Ltd.0.16%$461.61K
Repsol SA0.15%$433.09K
Mitsubishi Corp.0.15%$432.26K
Screen Holdings Co Ltd.0.15%$428.95K
PRO Medicus Ltd.0.13%$364.78K
Suncor Energy, Inc.0.12%$337.32K
Ck Asset Holdings Ltd.0.12%$329.00K
Air Liquide S.A.(L')0.11%$321.00K
Sumitomo Mitsui Financial Group Inc.0.11%$305.79K
Taisei Corp.0.09%$259.00K
Evolution Mining Ltd.0.09%$255.53K
Lloyds Banking Group PLC0.09%$254.97K
Aisin Corp.0.08%$221.18K
Evraz PLC0.00%$0

LMIRX overview: performance, fees, allocation and SEC filings