Templeton Global Income Fund Inc

Templeton Global Income Fund

Inc

August 31, 2023

August 31, 2023

Closed-End Fund Portfolio Holdings

The following portfolio data for the Franklin Templeton funds is made available to the public under our Portfolio Holdings Release Policy and is "as of" the date indicated.

This portfolio data should not be relied upon as a complete listing of a fund's holdings (or of a fund's top holdings) as information on particular holdings may be withheld if it is in the fund's interest to do so. Additionally, foreign currency forwards are not included in the portfolio data. Instead, the net market value of all currency forward contracts is included in cash and other net assets of the fund. Further, portfolio holdings data of over-the-counter derivative investments such as Credit Default Swaps, Interest Rate Swaps or other Swap contracts list only the name of counterparty to the derivative contract, not the details of the derivative. Complete portfolio data can be found in the statement of investments in the annual and semi-annual report to shareholders.

Security

Security

Shares/

Market

% of

Coupon

Maturity

Identifier

Name

Positions Held

Value

TNA

Rate

Date

DDD1281424

ASIAN DEVELOPMENT BANK

48,679,000,000

$11,666,180

2.55%

11.20%

01/31/25

BMHYDC1

BANK OF THAILAND BOND

68,690,000

$1,954,875

0.43%

.66%

11/22/23

DDD1283590

BARCLAYS BANK PLC

21,924,000

$87,454

0.02%

N/A

11/01/23

DDD1283591

BARCLAYS BANK PLC

-21,924,000

-$212,816

-0.05%

N/A

02/01/24

DDD1283592

BARCLAYS BANK PLC

10,962,000

$27,021

0.01%

N/A

02/01/24

BF4LY56

BRAZIL NOTAS DO TESOURO

9,230

$1,803,073

0.39%

9.84%

01/01/29

NACIONAL SERIE F

BK6FNL0

BRAZIL NOTAS DO TESOURO

181,760

$34,947,268

7.64%

9.84%

01/01/31

NACIONAL SERIE F

BYYCKC1

BRAZIL NOTAS DO TESOURO

17,610

$3,513,631

0.77%

9.84%

01/01/27

NACIONAL SERIE F

BKLH775

BUNDESOBLIGATION

2,826,000

$2,954,942

0.65%

N/A

10/18/24

4390741

BUNDESREPUBLIK DEUTSCHLAND

2,771,000

$3,033,917

0.66%

6.25%

01/04/24

BUNDESANLEIHE

BPH2K81

BUNDESSCHATZANWEISUNGEN

6,133,000

$6,456,999

1.41%

.40%

09/13/24

DDD631984

COLLATERAL CASH - BNP PARIBAS -

1,749,761

$1,749,761

0.38%

N/A

02/20/49

USD

DDD631893

COLLATERAL CASH - CITIBANK NA -USD

270,000

$270,000

0.06%

N/A

02/20/49

99E165305

COLLATERAL CASH - DEUTSCHE BANK

1,310,000

$1,310,000

0.29%

.00%

02/20/49

AG - USD

DDD631897

COLLATERAL CASH - GOLDMAN SACHS

320,000

$320,000

0.07%

N/A

02/20/49

BANK USA - USD

DDD631894

COLLATERAL CASH - HSBC BANK PLC -

680,000

$680,000

0.15%

N/A

02/20/49

USD

DDD631896

COLLATERAL CASH - JPMORGAN

20,000

$20,000

0.00%

N/A

02/20/49

CHASE BANK N.A - USD

DDD631986

COLLATERAL CASH - MORGAN

10,000

$10,000

0.00%

N/A

02/20/49

STANLEY CAPITAL SERVICE

B5V9HQ5

COLOMBIAN TES

34,605,300,000

$7,962,748

1.74%

7.50%

08/26/26

B8CLGQ4

COLOMBIAN TES

3,390,000,000

$710,058

0.16%

6.00%

04/28/28

BD446H7

COLOMBIAN TES

14,091,000,000

$2,761,354

0.60%

7.00%

06/30/32

BHPGGV4

COLOMBIAN TES

18,808,000,000

$3,605,230

0.79%

7.25%

10/18/34

BKPJY09

COLOMBIAN TES

6,431,000,000

$1,090,186

0.24%

6.25%

07/09/36

franklintempleton.com

1

Templeton Global Income Fund Inc

August 31, 2023

Security

Security

Shares/

Market

% of

Coupon

Maturity

Identifier

Name

Positions Held

Value

TNA

Rate

Date

BNGJFM8

COLOMBIAN TES

29,142,000,000

$6,191,267

1.35%

9.25%

05/28/42

BPRCNY8

COLOMBIAN TES

29,333,000,000

$8,241,622

1.80%

13.25%

02/09/33

BK94CJ5

DOMINICAN REPUBLIC INTERNATIONAL

5,735,000

$4,422,449

0.97%

5.88%

01/30/60

BOND

BKC5XL4

DOMINICAN REPUBLIC INTERNATIONAL

1,220,000

$1,027,958

0.22%

6.40%

06/05/49

BOND

BMV7Z19

DOMINICAN REPUBLIC INTERNATIONAL

5,430,000

$4,251,509

0.93%

5.30%

01/21/41

BOND

BMGR2B3

ECUADOR REPUBLIC OF

8,221,000

$4,043,104

0.88%

6.00%

07/31/30

BMGR2F7

ECUADOR REPUBLIC OF

21,006,000

$7,780,790

1.70%

3.50%

07/31/35

03846JAC4

EGYPT GOVERNMENT INTERNATIONAL

1,470,000

$745,584

0.16%

7.50%

02/16/61

BOND

03846JX54

EGYPT GOVERNMENT INTERNATIONAL

1,030,000

$594,879

0.13%

7.63%

05/29/32

BOND

BDG6ZJ6

EGYPT GOVERNMENT INTERNATIONAL

5,360,000

$2,856,794

0.62%

8.50%

01/31/47

BOND

BF0V3R5

EGYPT GOVERNMENT INTERNATIONAL

670,000

$342,638

0.07%

7.90%

02/21/48

BOND

BGSGVZ3

EGYPT GOVERNMENT INTERNATIONAL

510,000

$271,643

0.06%

8.70%

03/01/49

BOND

BMGCCS5

EGYPT GOVERNMENT INTERNATIONAL

4,310,000

$2,299,014

0.50%

8.75%

09/30/51

BOND

BMGCCV8

EGYPT GOVERNMENT INTERNATIONAL

4,630,000

$2,570,150

0.56%

7.30%

09/30/33

BOND

BMQC3X7

EGYPT GOVERNMENT INTERNATIONAL

2,150,000

$1,157,656

0.25%

8.88%

05/29/50

BOND

BPP0496

GERMAN TREASURY BILL

523,000

$566,217

0.12%

N/A

09/20/23

BQS8FJ1

GERMAN TREASURY BILL

7,622,000

$8,228,885

1.80%

N/A

10/18/23

BMFH322

HUNGARY GOVERNMENT BOND

3,157,100,000

$7,683,569

1.68%

1.00%

11/26/25

BMH2BK9

HUNGARY GOVERNMENT BOND

5,601,400,000

$13,543,770

2.96%

4.75%

11/24/32

BYY7PC1

HUNGARY GOVERNMENT BOND

271,500,000

$657,479

0.14%

3.00%

10/27/27

457756500

IFT MONEY MARKET PORTFOLIO

27,683,373

$27,683,373

6.06%

N/A

N/A

BGK3LM9

INDIA GOVERNMENT BOND

1,500,000,000

$18,247,354

3.99%

7.26%

01/14/29

BL68NX8

INDIA GOVERNMENT BOND

1,650,000,000

$18,471,254

4.04%

5.77%

08/03/30

BPJHDP2

INDIA GOVERNMENT BOND

730,990,000

$8,914,226

1.95%

7.26%

08/22/32

B4QWH17

INDONESIA TREASURY BOND

162,800,000,000

$10,649,024

2.33%

6.13%

05/15/28

BCV7LV1

INDONESIA TREASURY BOND

33,787,000,000

$2,528,257

0.55%

8.38%

03/15/34

BDZCRY4

INDONESIA TREASURY BOND

237,200,000,000

$17,489,420

3.83%

9.00%

03/15/29

BKPMPK5

INDONESIA TREASURY BOND

5,605,000,000

$370,559

0.08%

6.50%

02/15/31

BL53JN6

INDONESIA TREASURY BOND

15,737,000,000

$1,032,803

0.23%

6.38%

04/15/32

BPK4YK4

INDONESIA TREASURY BOND

103,008,000,000

$7,063,186

1.55%

7.00%

02/15/33

B1YBKV6

MALAYSIA GOVERNMENT BOND

2,880,000

$619,144

0.14%

3.50%

05/31/27

B7KXN64

MALAYSIA GOVERNMENT BOND

460,000

$100,326

0.02%

3.89%

03/15/27

BD6RZ22

MALAYSIA GOVERNMENT BOND

11,900,000

$2,597,713

0.57%

3.90%

11/30/26

BJ0JR97

MALAYSIA GOVERNMENT BOND

15,820,000

$3,437,440

0.75%

4.18%

07/15/24

BK8M353

MALAYSIA GOVERNMENT BOND

31,690,000

$6,843,400

1.50%

3.48%

06/14/24

franklintempleton.com

2

Templeton Global Income Fund Inc

August 31, 2023

Security

Security

Shares/

Market

% of

Coupon

Maturity

Identifier

Name

Positions Held

Value

TNA

Rate

Date

BWC50C8

MALAYSIA GOVERNMENT BOND

BYQBHY7

MALAYSIA GOVERNMENT BOND

BYQN8M8

MALAYSIA GOVERNMENT BOND

BYVSC48

MALAYSIA GOVERNMENT BOND

B1GCCF5

MEXICAN BONOS

B44NND6

MEXICAN BONOS

B4XH544

MEXICAN BONOS

B7V21L1

MEXICAN BONOS

BLT1SS4

MEXICAN BONOS

BQXQSG8

MEXICAN BONOS

BM8QR24

MONGOLIA GOVERNMENT

INTERNATIONAL BOND

BMCFZG7

MONGOLIA GOVERNMENT

INTERNATIONAL BOND

BNDKL15

MONGOLIA GOVERNMENT

INTERNATIONAL BOND

BKT1058

NEW SOUTH WALES TREASURY CORP

BMH82T3

NEW SOUTH WALES TREASURY CORP

BKWB8J5

NORWAY GOVERNMENT BOND

BWC54R1

NORWAY GOVERNMENT BOND

BYQ7187

NORWAY GOVERNMENT BOND

BYVFQ03

OMAN GOVERNMENT INTERNATIONAL

BOND

BLNVDM9

QUEENSLAND TREASURY CORP

Q7943QZ36

QUEENSLAND TREASURY CORP

BQKRD47

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRD58

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRD69

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRD70

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRD81

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRD92

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRDB4

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRDC5

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRDD6

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRDF8

REPUBLIC OF GHANA GOVERNMENT

BONDS

BQKRDG9

REPUBLIC OF GHANA GOVERNMENT

BONDS

6,536,000

$1,424,960

0.31%

3.96%

09/15/25

19,430,000

$4,222,675

0.92%

4.06%

09/30/24

89,340,000

$19,501,728

4.27%

3.90%

11/16/27

17,390,000

$3,779,326

0.83%

3.88%

03/14/25

134,900

$832,756

0.18%

10.00%

11/20/36

247,300

$1,347,460

0.29%

8.50%

11/18/38

356,000

$2,012,158

0.44%

8.50%

05/31/29

532,400

$2,668,392

0.58%

7.75%

11/13/42

418,900

$2,201,506

0.48%

7.75%

11/23/34

2,257,900

$11,762,195

2.57%

7.50%

05/26/33

3,790,000

$2,942,431

0.64%

4.45%

07/07/31

600,000

$557,700

0.12%

5.13%

04/07/26

1,690,000

$1,419,562

0.31%

3.50%

07/07/27

19,411,000

$10,008,288

2.19%

2.00%

03/08/33

11,363,000

$5,524,186

1.21%

1.75%

03/20/34

30,878,000

$2,885,977

0.63%

3.00%

03/14/24

28,937,000

$2,623,095

0.57%

1.75%

03/13/25

17,165,000

$1,517,123

0.33%

1.50%

02/19/26

4,190,000

$4,094,082

0.90%

4.75%

06/15/26

17,165,000

$8,324,153

1.82%

1.75%

07/20/34

14,810,000

$7,591,658

1.66%

2.00%

08/22/33

5,997,850

$322,828

0.07%

5.00%

02/16/27

6,002,275

$289,704

0.06%

5.00%

02/15/28

5,886,604

$260,512

0.06%

5.00%

02/13/29

5,890,945

$241,871

0.05%

5.00%

02/12/30

5,427,330

$209,559

0.05%

5.00%

02/11/31

5,431,322

$199,832

0.04%

5.00%

02/10/32

5,435,314

$193,961

0.04%

5.00%

02/08/33

3,751,859

$130,419

0.03%

5.00%

02/07/34

3,754,612

$128,162

0.03%

5.00%

02/06/35

3,757,365

$126,773

0.03%

5.00%

02/05/36

3,760,119

$126,060

0.03%

5.00%

02/03/37

franklintempleton.com

3

Templeton Global Income Fund Inc

August 31, 2023

Security

Security

Shares/

Market

% of

Coupon

Maturity

Identifier

Name

Positions Held

Value

TNA

Rate

Date

BQKRDH0

REPUBLIC OF GHANA GOVERNMENT

BONDS

DDD955025

SECURITIZED CASH COLLATERAL - USD

B9L2YV6

SINGAPORE GOVERNMENT BOND

BPG5C63

SINGAPORE GOVERNMENT BOND

B1VXJ41

THAILAND GOVERNMENT BOND

BNXGW98

THAILAND GOVERNMENT BOND

BG064V8

TITULOS DE TESORERIA B

BJGSSF1

TREASURY CORP OF VICTORIA

BNDC0S1

TREASURY CORP OF VICTORIA

912796YH6

UNITED STATES TREASURY BILL

912810QZ4

UNITED STATES TREASURY NOTE/

BOND

912810RC4

UNITED STATES TREASURY NOTE/

BOND

912810RD2

UNITED STATES TREASURY NOTE/

BOND

912810TK4

UNITED STATES TREASURY NOTE/

BOND

3,762,872

$125,875

0.03%

5.00%

02/02/38

2,750,000

$2,750,000

0.60%

N/A

02/20/49

3,690,000

$2,788,433

0.61%

3.38%

09/01/33

24,460,000

$17,373,830

3.80%

2.63%

08/01/32

433,040,000

$12,180,769

2.66%

.75%

09/17/24

224,500,000

$6,083,914

1.33%

1.00%

06/17/27

4,518,000,000

$1,033,673

0.23%

6.25%

11/26/25

13,925,000

$6,997,053

1.53%

2.25%

11/20/34

14,214,000

$7,384,575

1.62%

2.25%

09/15/33

18,400,000

$18,383,842

4.02%

N/A

09/07/23

1,380,000

$1,146,478

0.25%

3.13%

02/15/43

4,790,000

$4,281,998

0.94%

3.63%

08/15/43

1,210,000

$1,100,910

0.24%

3.75%

11/15/43

2,380,000

$2,065,672

0.45%

3.38%

08/15/42

franklintempleton.com

4

Templeton Global Income Fund Inc

August 31, 2023

Important Legal Information

  • Portfolio holdings are subject to change without notice and may not represent current or future portfolio composition.The portfolio data is "as of" the date indicated and we disclaim any responsibility to update the information.
  • The net market value of all currency forward contracts is included in cash and other net assets, reflected in the base currency of the fund. The net market value of any Credit Default, Interest Rate and/or other Swap contract positions are displayed as exposure to the issuing counterparty (e.g., "Citibank") .
  • Unlike the fund's regulatory filings, the portfolio data and its presentation in this document are not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it may differ from that in the complete statement of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete statement of investments provided in the first and third quarter SEC Form N-Q filings for each fiscal year.
  • The portfolio data is for information only. It does not constitute a recommendation or an offer for a particular security or fund, nor should it be taken as a solicitation or a recommendation to buy or sell securities or other investments.
  • Unlike open-end funds (mutual funds), closed-end funds are not continuously offered. Closed-end funds trade on the secondary market through a national stock exchange at a price which may be above (a premium), but is often below (a discount to) the net asset value (NAV) of the fund's portfolio.

Franklin Templeton Portfolio Advisors, Inc.

TRANSFER AGENT

One Franklin Parkway

American Stock Transfer & Trust Co., LLC

San Mateo, CA 94403

6201 15th Avenue

(800) DIAL BEN/342-5236

Brooklyn, NY 11219

franklintempleton.com

© 2023 Franklin Templeton Investments. All rights reserved.

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Templeton Global Income Fund published this content on 31 August 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 15 September 2023 09:38:06 UTC.