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[SCHEDULE 13D/A] FRANKLIN RESOURCES INC SEC Filing

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
SCHEDULE 13D/A

Franklin Resources and affiliates report majority ownership in Franklin BSP Private Credit Fund. The filing shows Franklin Resources, its subsidiaries BSP Fund HoldCo (Debt Strategy) L.P. and Franklin Advisers, Inc., and related parties collectively beneficially own 7,739,178 Advisor Class Shares, representing 61.2% of the 12,648,519 Advisor Class Shares outstanding as of September 2, 2025. HoldCo holds 4,955,483 shares purchased for an aggregate $49,900,000 and Franklin Global Allocation Fund holds 2,783,694 shares purchased for $28,951,188. The reporting persons state the acquisitions were made for investment purposes and that no current plans exist to effect major corporate actions.

Franklin Resources e aziende affiliate riportano proprietà majoritaria nel Franklin BSP Private Credit Fund. Il fascicolo mostra che Franklin Resources, le sue controllate BSP Fund HoldCo (Debt Strategy) L.P. e Franklin Advisers, Inc., e le parti correlate detenono collettivamente, in modo beneficiario, 7.739.178 azioni di Classe Consulente, che rappresentano il 61,2% delle 12.648.519 azioni di Classe Consulente in circolazione al 2 settembre 2025. HoldCo detiene 4.955.483 azioni acquistate per un totale di 49.900.000 USD e Franklin Global Allocation Fund detiene 2.783.694 azioni acquistate per 28.951.188 USD. Le persone che riportano dichiarano che gli acquisti sono stati effettuati per scopi di investimento e che non esistono piani attuali per attuare azioni societarie importanti.

Fralklin Resources y sus afiliadas reportan propiedad mayoritaria en Franklin BSP Private Credit Fund. La presentación muestra que Franklin Resources, sus filiales BSP Fund HoldCo (Debt Strategy) L.P. y Franklin Advisers, Inc., y las partes relacionadas poseen, de manera beneficiosa colectiva, 7,739,178 Acciones de Clase Asesor, que representan el 61,2% de las 12,648,519 Acciones de Clase Asesor en circulación al 2 de septiembre de 2025. HoldCo posee 4,955,483 acciones adquiridas por un total de 49,900,000 USD y Franklin Global Allocation Fund posee 2,783,694 acciones adquiridas por 28,951,188 USD. Las personas reportantes declaran que las adquisiciones se realizaron con fines de inversión y que no existen planes actuales para efectuar acciones corporativas significativas.

Franklin Resources 및 계열사들은 Franklin BSP Private Credit Fund에 대한 대다수 지분을 보고합니다. 공시는 Franklin Resources와 그 자회사 BSP Fund HoldCo (Debt Strategy) L.P. 및 Franklin Advisers, Inc. 그리고 관련 당사자들이 collectively 이익적으로 7,739,178 Advisor Class Shares를 보유하고 있으며 이는 2025년 9월 2일 기준 발행 주식 12,648,519 주 중 61.2%에 해당함을 보여줍니다. HoldCo는 총 4,955,483주를 49,900,000달러에 매입했고 Franklin Global Allocation Fund는 2,783,694주를 28,951,188달러에 매입했습니다. 보고 당사자들은 이 매입이 투자 목적이며 현재 중요한 기업 행위를 실행할 계획이 없다고 밝힙니다.

Les Franklin Resources et les filiales détiennent une participation majoritaire dans Franklin BSP Private Credit Fund. Le dossier indique que Franklin Resources, ses filiales BSP Fund HoldCo (Debt Strategy) L.P. et Franklin Advisers, Inc., ainsi que les parties liées détiennent collectivement, en tant que bénéficiaires, 7 739 178 actions de Classe Conseil, représentant 61,2% des 12 648 519 actions de Classe Conseil en circulation au 2 septembre 2025. HoldCo détient 4 955 483 actions achetées pour un montant total de 49 900 000 USD et Franklin Global Allocation Fund détient 2 783 694 actions achetées pour 28 951 188 USD. Les personnes qui déclarent indiquent que les acquisitions ont été réalisées à des fins d’investissement et qu’aucun projet actuel de réaliser des actions corporatives importantes n’existe.

Franklin Resources und verbundene Unternehmen melden Mehrheitsbeteiligung am Franklin BSP Private Credit Fund. Die Einreichung zeigt, dass Franklin Resources, seine Tochtergesellschaften BSP Fund HoldCo (Debt Strategy) L.P. und Franklin Advisers, Inc. sowie verwandte Parteien gemeinsam als wirtschaftlich Berechtigte 7.739.178 Advisor Class Shares besitzen, was 61,2% der zum 2. September 2025 ausstehenden 12.648.519 Advisor Class Shares entspricht. HoldCo hält 4.955.483 Anteile, die für insgesamt 49.900.000 USD erworben wurden, und Franklin Global Allocation Fund hält 2.783.694 Anteile, die für 28.951.188 USD erworben wurden. Die meldenden Personen erklären, dass die Anschaffungen zu Investitionszwecken erfolgten und derzeit keine Pläne bestehen, wesentliche Unternehmensmaßnahmen durchzuführen.

توَزّع فرانكلين ريسورسز والفروع المملوكة ملكية أغلبية في Franklin BSP Private Credit Fund. يُظهر التفويض أن فرانكلين ريسورسز وشركاتها التابعة BSP Fund HoldCo (Debt Strategy) L.P. وFranklin Advisers, Inc. والأطراف ذات الصلة يمتلكون بشكل مُستفيد جماعي 7,739,178 سهم فئة المستشار، وهي تمثل 61.2% من إجمالي 12,648,519 سهم فئة المستشار القائمة حتى 2 سبتمبر 2025. HoldCo تمتلك 4,955,483 سهمًا اشتُريت مجتمعىًًا مقابل 49,900,000 دولار أمريكي، و Franklin Global Allocation Fund تمتلك 2,783,694 سهمًا اشتُريت مقابل 28,951,188 دولارًا. يذكر الأشخاص المذكورون أن هذه الاستحواءات جاءت لأغراض استثمارية، ولا توجد خطط حالية لإجراء إجراءات مؤسسية كبيرة.

Franklin Resources及其关联公司在Franklin BSP Private Credit Fund中报告了多数股权。 文件显示,Franklin Resources、其子公司 BSP Fund HoldCo (Debt Strategy) L.P. 和 Franklin Advisers, Inc. 及相关方合计受益地拥有 7,739,178 股 Advisor Class Shares,占截至 2025 年 9 月 2 日在流通中的 12,648,519 股 Advisor Class Shares 的 61.2%。HoldCo 拥有 4,955,483 股,购买总额为 49,900,000 美元;Franklin Global Allocation Fund 拥有 2,783,694 股,购入金额为 28,951,188 美元。申报人表示,这些收购是出于投资目的,且目前没有实施重大企业行动的计划。

Positive
  • Majority economic stake: Reporting persons beneficially own 61.2% of Advisor Class Shares (7,739,178 of 12,648,519)
  • Transparent acquisition details: HoldCo purchases totaling $49,900,000 for 4,955,483 shares and Franklin Global Allocation Fund purchases totaling $28,951,188 for 2,783,694 shares
  • Declared investment intent: Filers state shares were acquired for investment and report no present plans to effect major corporate actions
Negative
  • None.

Insights

TL;DR: Franklin Resources and affiliates control a majority 61.2% stake, consolidating influence over the Advisor Class shares.

The Schedule 13D/A documents a clear majority beneficial ownership position: 7,739,178 Advisor Class Shares or 61.2% of the class. Material purchase details are disclosed: HoldCo paid $49.9 million for 4,955,483 shares and Franklin Global Allocation Fund paid $28,951,188 for 2,783,694 shares. These holdings represent a controlling economic interest that can affect governance and distribution outcomes even though the filers state purchases were for investment purposes and assert no present plans for corporate actions.

TL;DR: Majority ownership raises governance implications; filers disclaim group status and say no plans for change.

The filing notes voting and dispositive power resides with HoldCo and Franklin Advisers for their respective shares and includes the SEC-referenced disaggregation rationale. The reporting persons emphasize informational barriers and disclaim being a "group," which is relevant to attribution and potential obligations. While ownership is material, the Schedule states no current proposals to pursue actions enumerated in Item 4.

Franklin Resources e aziende affiliate riportano proprietà majoritaria nel Franklin BSP Private Credit Fund. Il fascicolo mostra che Franklin Resources, le sue controllate BSP Fund HoldCo (Debt Strategy) L.P. e Franklin Advisers, Inc., e le parti correlate detenono collettivamente, in modo beneficiario, 7.739.178 azioni di Classe Consulente, che rappresentano il 61,2% delle 12.648.519 azioni di Classe Consulente in circolazione al 2 settembre 2025. HoldCo detiene 4.955.483 azioni acquistate per un totale di 49.900.000 USD e Franklin Global Allocation Fund detiene 2.783.694 azioni acquistate per 28.951.188 USD. Le persone che riportano dichiarano che gli acquisti sono stati effettuati per scopi di investimento e che non esistono piani attuali per attuare azioni societarie importanti.

Fralklin Resources y sus afiliadas reportan propiedad mayoritaria en Franklin BSP Private Credit Fund. La presentación muestra que Franklin Resources, sus filiales BSP Fund HoldCo (Debt Strategy) L.P. y Franklin Advisers, Inc., y las partes relacionadas poseen, de manera beneficiosa colectiva, 7,739,178 Acciones de Clase Asesor, que representan el 61,2% de las 12,648,519 Acciones de Clase Asesor en circulación al 2 de septiembre de 2025. HoldCo posee 4,955,483 acciones adquiridas por un total de 49,900,000 USD y Franklin Global Allocation Fund posee 2,783,694 acciones adquiridas por 28,951,188 USD. Las personas reportantes declaran que las adquisiciones se realizaron con fines de inversión y que no existen planes actuales para efectuar acciones corporativas significativas.

Franklin Resources 및 계열사들은 Franklin BSP Private Credit Fund에 대한 대다수 지분을 보고합니다. 공시는 Franklin Resources와 그 자회사 BSP Fund HoldCo (Debt Strategy) L.P. 및 Franklin Advisers, Inc. 그리고 관련 당사자들이 collectively 이익적으로 7,739,178 Advisor Class Shares를 보유하고 있으며 이는 2025년 9월 2일 기준 발행 주식 12,648,519 주 중 61.2%에 해당함을 보여줍니다. HoldCo는 총 4,955,483주를 49,900,000달러에 매입했고 Franklin Global Allocation Fund는 2,783,694주를 28,951,188달러에 매입했습니다. 보고 당사자들은 이 매입이 투자 목적이며 현재 중요한 기업 행위를 실행할 계획이 없다고 밝힙니다.

Les Franklin Resources et les filiales détiennent une participation majoritaire dans Franklin BSP Private Credit Fund. Le dossier indique que Franklin Resources, ses filiales BSP Fund HoldCo (Debt Strategy) L.P. et Franklin Advisers, Inc., ainsi que les parties liées détiennent collectivement, en tant que bénéficiaires, 7 739 178 actions de Classe Conseil, représentant 61,2% des 12 648 519 actions de Classe Conseil en circulation au 2 septembre 2025. HoldCo détient 4 955 483 actions achetées pour un montant total de 49 900 000 USD et Franklin Global Allocation Fund détient 2 783 694 actions achetées pour 28 951 188 USD. Les personnes qui déclarent indiquent que les acquisitions ont été réalisées à des fins d’investissement et qu’aucun projet actuel de réaliser des actions corporatives importantes n’existe.

Franklin Resources und verbundene Unternehmen melden Mehrheitsbeteiligung am Franklin BSP Private Credit Fund. Die Einreichung zeigt, dass Franklin Resources, seine Tochtergesellschaften BSP Fund HoldCo (Debt Strategy) L.P. und Franklin Advisers, Inc. sowie verwandte Parteien gemeinsam als wirtschaftlich Berechtigte 7.739.178 Advisor Class Shares besitzen, was 61,2% der zum 2. September 2025 ausstehenden 12.648.519 Advisor Class Shares entspricht. HoldCo hält 4.955.483 Anteile, die für insgesamt 49.900.000 USD erworben wurden, und Franklin Global Allocation Fund hält 2.783.694 Anteile, die für 28.951.188 USD erworben wurden. Die meldenden Personen erklären, dass die Anschaffungen zu Investitionszwecken erfolgten und derzeit keine Pläne bestehen, wesentliche Unternehmensmaßnahmen durchzuführen.






If the filing person has previously filed a statement on Schedule 13G to report the acquisition that is the subject of this Schedule 13D, and is filing this schedule because of §§ 240.13d-1(e), 240.13d-1(f) or 240.13d-1(g), check the following box.

The information required on the remainder of this cover page shall not be deemed to be "filed" for the purpose of Section 18 of the Securities Exchange Act of 1934 ("Act") or otherwise subject to the liabilities of that section of the Act but shall be subject to all other provisions of the Act (however, see the Notes).






SCHEDULE 13D




Comment for Type of Reporting Person:
1.Consists of 4,955,483 Advisor Class Shares of Beneficial Interest held in a Franklin Resources, Inc.'s subsidiary's corporate account and 2,783,694 held for the benefit of a fund managed by Franklin Advisers, Inc. 2.Percentage represents the current beneficial ownership percentage that Franklin Resources, Inc. and its investment management subsidiaries may be deemed to beneficially own based upon 12,648,519 Advisor Class Shares of Beneficial Interest outstanding as of September 2, 2025.


SCHEDULE 13D






SCHEDULE 13D






SCHEDULE 13D






SCHEDULE 13D






SCHEDULE 13D


Franklin Resources, Inc.
Signature:/s/THOMAS C. MANDIA
Name/Title:Thomas C. Mandia, Assistant Secretary of Franklin Resources, Inc.
Date:09/03/2025
Charles B. Johnson
Signature:/s/THOMAS C. MANDIA
Name/Title:Thomas C. Mandia, Attorney in Fact for Charles B. Johnson pursuant to Power of Attorney
Date:09/03/2025
Rupert H. Johnson, Jr.
Signature:/s/THOMAS C. MANDIA
Name/Title:Thomas C. Mandia, Attorney in Fact for Rupert H. Johnson, Jr. pursuant to Power of Attorney
Date:09/03/2025
BSP Fund HoldCo (Debt Strategy) L.P.
Signature:/s/VIRGINIA E. ROSAS
Name/Title:Virginia E. Rosas, Assistant Secretary of Franklin Templeton Institutional GP LLC
Date:09/03/2025
Franklin Advisers, Inc.
Signature:/s/THOMAS C. MANDIA
Name/Title:Thomas C. Mandia, Assistant Secretary of Franklin Advisers, Inc.
Date:09/03/2025
Comments accompanying signature:
LIMITED POWERS OF ATTORNEY FOR SECTION 13 AND 16 REPORTING OBLIGATIONS (incorporated by reference to Schedule 13D/A No. 22 filed on December 23, 2024)

FAQ

How many Advisor Class Shares does Franklin Resources and its affiliates report owning (BEN)?

The filing reports beneficial ownership of 7,739,178 Advisor Class Shares, equal to 61.2% of the class.

What did BSP Fund HoldCo pay and how many shares does it hold?

BSP Fund HoldCo holds 4,955,483 shares acquired for an aggregate purchase price of $49,900,000.

How many shares does Franklin Global Allocation Fund hold and what was the cost?

Franklin Global Allocation Fund holds 2,783,694 shares for an aggregate purchase price of $28,951,188.

Does the filing state any plans to change the issuer’s management or operations?

No; the reporting persons state the acquisitions were for investment purposes and that they have no present plans or proposals to effect actions described in Item 4.

What percentage of the Advisor Class Shares outstanding is used to calculate ownership?

The ownership percentage is based on 12,648,519 Advisor Class Shares outstanding as of September 2, 2025.
Franklin Resources Inc

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