SAN MATEO, CA--(Marketwire - Jul 18, 2011) - Franklin Templeton Limited Duration Income Trust (
Based on the Fund's net asset value (NAV) of $14.01 at the close of the market on July 15, 2011, the Fund's monthly dividend represents an annualized yield at NAV of 7.11%. At the Fund's market price of $14.72 at the close of the NYSE Amex on July 15, 2011, the Fund's monthly dividend represents an annualized market yield of 6.77%.
Franklin Advisers, Inc. is a wholly owned subsidiary of Franklin Resources, Inc. (
Contact Information:
CONTACT:
Franklin Templeton Investments
Shareholders/Financial Advisors:
(800) 342-5236