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In the News

11:06 04 Oct 2022 FTF

FTF: A Tempting Discount Opening Up, But There Are Risks

FTF completed a rights offering that caused its discount to widen earlier this year. The overall state of the fixed-income market has pushed this fund down even further as a bond fund.

05:50 04 Oct 2022 FTF

FTF: You Are Getting A 2.7% Return Here, Not 11.5%

FTF is a fixed income CEF focused on HY bonds, leveraged loans and MBS securities. The fund has a stated 11.5% dividend yield, which is unsupported.

06:40 04 Oct 2022 FTF

FTF: Quick Notes On The Rights Offering

FTF has an ongoing rights offering. Sidestepping the ex-rights date worked again.

12:33 04 Oct 2022 FTF

Franklin Limited Duration Income Trust (“FTF” or the “Fund”) Announces Distribution

SAN MATEO, Calif.--(BUSINESS WIRE)--FRANKLIN LIMITED DURATION INCOME TRUST [NYSE American: FTF] today announced a monthly distribution from net investment income of $0.0770 per share, payable on November 15, 2021, to shareholders of record on October 29, 2021 (Ex-Dividend Date: October 28, 2021). The Fund's Board of Trustees (the “Board”) has authorized a managed distribution plan pursuant to which the Fund makes monthly distributions to shareholders at an annual minimum fixed rate of 10%, base

03:28 04 Oct 2022 FTF

Franklin Limited Duration Income Trust (“FTF” or the “Fund”) Announces Notification of Sources of Distributions

SAN MATEO, Calif.--(BUSINESS WIRE)--Franklin Limited Duration Income Trust [NYSE American: FTF]: Notification Of Sources of Distributions Pursuant to Section 19(a) of the Investment Company Act of 1940 The Fund's estimated sources of the distribution to be paid on October 15, 2021 and for the 2021 year-to-date are as follows: Estimated Allocations for Monthly Distribution as of September 30, 2021: Distribution Per Share Net Investment Income Net Realized Short-Term Capital Gains Net Realized Lo

12:15 04 Oct 2022 FTF

Franklin Limited Duration Income Trust Declares Monthly Distribution

SAN MATEO, Calif.--(BUSINESS WIRE)--Franklin Limited Duration Income Trust [NYSE American: FTF], a closed-end investment company managed by Franklin Advisers, Inc., announced today a distribution of $0.0770 per common share, payable October 15, 2021, to shareholders of record on September 30, 2021 (Ex-Dividend Date: September 29, 2021). The Fund adopted a managed distribution plan and will make monthly distributions to common shareholders at an annual minimum fixed rate of 10 percent, based on

02:10 04 Oct 2022 FTF

Franklin Limited Duration Income Trust Announces Sources of Monthly Dividend Distribution

SAN MATEO, Calif.--(BUSINESS WIRE)--The Franklin Limited Duration Income Trust [NYSE American: FTF] (CUSIP 35472T101) has declared a dividend of $0.0776 per common share payable September 15, 2021, to shareholders of record as of August 31, 2021. It is currently estimated that $0.0420 per share represents net investment income and $0.0356 per share represents return of principal. The Fund adopted a managed distribution plan and will make monthly distributions to common shareholders at an annual

04:31 04 Oct 2022 FTF

'Slip, Slidin Away' - What Happens To Funds That Over-Distribute Their Earnings

'Slip, Slidin Away' - What Happens To Funds That Over-Distribute Their Earnings

01:12 04 Oct 2022 FTF

Franklin Limited Duration Income Trust Declares Monthly Distribution

SAN MATEO, Calif.--(BUSINESS WIRE)--Franklin Limited Duration Income Trust [NYSE American: FTF], a closed-end investment company managed by Franklin Advisers, Inc., announced today a distribution of $0.0776 per common share, payable September 15, 2021, to shareholders of record on August 31, 2021 (Ex-Dividend Date: August 30, 2021). The Fund adopted a managed distribution plan and will make monthly distributions to common shareholders at an annual minimum fixed rate of 10 percent, based on the

12:18 04 Oct 2022 FTF

Franklin Limited Duration Income Trust Announces Sources of Monthly Dividend Distribution

SAN MATEO, Calif.--(BUSINESS WIRE)--The Franklin Limited Duration Income Trust [NYSE American: FTF] (CUSIP 35472T101) has declared a dividend of $0.0780 per common share payable August 13, 2021, to shareholders of record as of July 30, 2021. It is currently estimated that $0.0417 per share represents net investment income and $0.0363 per share represents return of principal. The Fund adopted a managed distribution plan and will make monthly distributions to common shareholders at an annual mini

Financial details

Company Rating
Neutral
Market Cap
249.71M
Income
5.55M
Revenue
42.25M
Book val./share
9.03
Cash/share
0.04
Dividend
0.83
Dividend %
13.5%
Employees
-
Optionable
No
Shortable
Yes
Earnings
-
P/E
13.73
Forward P/E
-
PEG
-4.07
P/S
4.41
P/B
0.69
P/C
156.5
P/FCF
5.44
Quick Ratio
-
Current Ratio
-
Debt / Equity
-
LT Debt / Equity
0.43
-
-
EPS (TTM)
0.23
EPS next Y
-
EPS next Q
-
EPS this Y
36.71%
EPS next Y
-
EPS next 5Y
-
EPS last 5Y
6.26%
Revenue last 5Y
7.4%
Revenue Q/Q
-11.18%
EPS Q/Q
-335.04%
-
-
-
-
SMA20
-8.56%
SMA50
-5.83%
SMA100
-9.74%
Inst Own
0%
Inst Trans
0%
ROA
1%
ROE
2%
ROC
-
Gross Margin
71%
Oper. Margin
71%
Profit Margin
13%
Payout
453%
Shs Outstand
-
Shs Float
-
-
-
-
-
Target Price
-
52W Range
6.14-9.28
52W High
-30.44%
52W Low
+4.33%
RSI
32.39
Rel Volume
0.93
Avg Volume
92.56K
Volume
86.39K
Perf Week
-3.1%
Perf Month
-10.06%
Perf Quarter
-15.52%
Perf Half Y
-19.43%
-
-
-
-
Beta
0.500998
-
-
Volatility
0.07%, 0.27%
Prev Close
1.29%
Price
6.26
Change
1.62%

Financial Performance

Yearly Fundamentals Overview

Last date of statement is 2021-12-31

Metric History 2018-12-312019-12-312020-12-31 2021-12-31
Revenue per share
-0.20.90.370.5
Net income per share
-0.210.890.350.47
Operating cash flow per share
-0.930.420.760.76
Free cash flow per share
-0.930.420.760.76
Cash per share
0.060.040.040.04
Book value per share
8.79.649.048.99
Tangible book value per share
8.79.649.048.99
Share holders equity per share
8.79.649.048.99
Interest debt per share
0.030.10.053.91
Market cap
330.02M301.34M294.24M244.2M
Enterprise value
328M299.97M292.88M359.5M
P/E ratio
-43.9210.8927.0217.15
Price to sales ratio
-48.1410.6725.5116.26
POCF ratio
-10.1622.812.2910.65
PFCF ratio
-10.1622.812.2910.65
P/B Ratio
1.0811.040.9
PTB ratio
1.0811.040.9
EV to sales
-47.8510.6225.3923.94
Enterprise value over EBITDA
-51.589.7423.2623.27
EV to operating cash flow
-10.122.6912.2315.68
EV to free cash flow
-10.122.6912.2315.68
Earnings yield
-0.020.090.040.06
Free cash flow yield
-0.10.040.080.09
Debt to equity
0000.43
Debt to assets
0.280.310.330.35
Net debt to EBITDA
0.32-0.04-0.117.46
Current ratio
0000
Interest coverage
0000
Income quality
4.320.482.21.61
Dividend Yield
0.090.10.10.11
Payout ratio
-4.021.132.61.97
Sales general and administrative to revenue
-0.080.020.050.05
Research and developement to revenue
0000
Intangibles to total assets
0000
Capex to operating cash flow
0000
Capex to revenue
0000
Capex to depreciation
0000
Stock based compensation to revenue
0000
Graham number
6.4813.868.399.79
ROIC
0000
Return on tangible assets
-0.020.060.030.03
Graham Net
-3.26-4.18-4.35-4.6
Working capital
0000
Tangible asset value
0000
Net current asset value
0000
Invested capital
0000.43
Average receivables
4.28M6.06M4.78M5.61M
Average payables
29.18M29.77M29.75M28.7M
Average inventory
0000
Days sales outstanding
-201.1694.97151.22156.49
Days payables outstanding
0000
Days of inventory on hand
0000
Receivables turnover
-1.813.842.412.33
Payables turnover
0000
Inventory turnover
0000
ROE
-0.020.090.040.05
Capex per share
0000

Quarterly Fundamentals Overview

Last date of statement is 2020-06-30 for Q2

Metric History 2019-06-302019-12-31 2020-06-30
Revenue per share
0.370.380.33
Net income per share
0.70.22-0.51
Operating cash flow per share
0.66-0.220.7
Free cash flow per share
0.66-0.220.7
Cash per share
0.210.050.04
Book value per share
10.3109.03
Tangible book value per share
10.3109.03
Share holders equity per share
10.3109.03
Interest debt per share
0.44-0.05-0.75
Market cap
289.33M289.03M254.97M
Enterprise value
282.99M287.66M253.91M
P/E ratio
3.4211.14-4.18
Price to sales ratio
25.6725.4925.32
POCF ratio
14.58-43.5912.12
PFCF ratio
14.58-43.5912.12
P/B Ratio
0.930.960.94
PTB ratio
0.930.960.94
EV to sales
25.1125.3725.21
Enterprise value over EBITDA
8.259.01-6.69
EV to operating cash flow
14.26-43.3812.07
EV to free cash flow
14.26-43.3812.07
Earnings yield
0.070.02-0.06
Free cash flow yield
0.07-0.020.08
Debt to equity
000
Debt to assets
0.280.310.33
Net debt to EBITDA
-0.18-0.280.03
Current ratio
000
Interest coverage
0.59-5.02-0.33
Income quality
0.94-1.02-1.38
Dividend Yield
0.050.050.06
Payout ratio
0.742.38-0.95
Sales general and administrative to revenue
000
Research and developement to revenue
000
Intangibles to total assets
000
Capex to operating cash flow
000
Capex to revenue
000
Capex to depreciation
000
Stock based compensation to revenue
000
Graham number
12.766.9610.14
ROIC
0.020.020.02
Return on tangible assets
0.050.01-0.04
Graham Net
-3.48-4.34-4.22
Working capital
000
Tangible asset value
000
Net current asset value
000
Invested capital
000
Average receivables
11.46M8.68M7.33M
Average payables
33.04M32.76M33.27M
Average inventory
000
Days sales outstanding
103.158.3241.67
Days payables outstanding
801.77835.961.08K
Days of inventory on hand
000
Receivables turnover
0.871.542.16
Payables turnover
0.110.110.08
Inventory turnover
000
ROE
0.070.02-0.06
Capex per share
000

Frequently Asked Questions

What is Franklin Limited Duration Income Trust stock symbol ?

Franklin Limited Duration Income Trust is a US stock , located in San mateo of California and trading under the symbol FTF

What is Franklin Limited Duration Income Trust stock quote today ?

Franklin Limited Duration Income Trust stock price is $6.26 today.

Is Franklin Limited Duration Income Trust stock public?

Yes, Franklin Limited Duration Income Trust is a publicly traded company.

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