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Holdings (Monthly) Guide ↗

Franklin Global Equity Fund

· Legg Mason Partners Investment Trust
Monthly Holdings $657M AUM 61 positions Period Jul 2026 Filed Sep 23, 2026 EDGAR ↗ ← All Funds
All 61 New 13 Added 13 Reduced 12 Exited · Jul 2026 vs Jan 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 MICRON TECHNOLOGY INC MU Jul 2026 14,077 NEW $11.6M — 1.76% EC
2 ASML HOLDING NV ASML Jan 2026 4,540 NEW $7.5M — 1.14% EC
3 CATERPILLAR INC CAT Jul 2026 8,510 NEW $6.9M — 1.06% EC
4 ROCHE HOLDING AG ROP Jan 2026 15,530 NEW $6.8M — 1.03% EP
5 NOVARTIS AG NOVN Jan 2026 40,635 NEW $6.4M — 0.97% EC
6 HF SINCLAIR CORP DINO Jul 2026 64,778 NEW $5.9M — 0.90% EC
7 UNICREDIT SPA UCG Jan 2026 62,257 NEW $5.9M — 0.89% EC
8 MACY'S INC M Jul 2026 232,825 NEW $5.8M — 0.88% EC
9 BNP PARIBAS SA BNP Jan 2026 44,944 NEW $5.7M — 0.87% EC
10 MS & AD INSURANCE GROUP HOLDINGS INC 8725 Jan 2026 185,000 NEW $5.7M — 0.87% EC
11 SAFRAN SA SAF Jan 2026 14,239 NEW $5.6M — 0.85% EC
12 MITSUBISHI CORP 8058 Jan 2026 183,000 NEW $5.5M — 0.83% EC
13 GSK PLC GSK Jan 2026 194,000 NEW $5.0M — 0.77% EC
14 ASTELLAS PHARMA INC 4503 Jan 2026 361,200 NEW $5.0M — 0.76% EC
15 MCKESSON CORP MCK Jul 2026 5,690 NEW $4.9M — 0.74% EC
16 CENTENE CORP CNC Jul 2026 75,954 NEW $4.7M — 0.72% EC
17 VODAFONE GROUP PLC VOD Jan 2026 2,842,600 NEW $4.5M — 0.69% EC
18 RENAISSANCERE HOLDINGS LTD RNR Jan 2026 13,713 NEW $4.4M — 0.67% EC
19 MERCEDES-BENZ GROUP AG MBG Jan 2026 80,243 NEW $4.3M — 0.66% EC
20 WH GROUP LTD 288 Jan 2026 4,026,000 NEW $4.3M — 0.66% EC
21 ALLSTATE CORP (THE) ALL Jul 2026 15,954 NEW $4.2M — 0.64% EC
22 SONY GROUP CORP 6758 Jan 2026 175,000 NEW $4.1M — 0.62% EC
23 KONINKLIJKE AHOLD DELHAIZE NV AD Jan 2026 98,737 NEW $3.9M — 0.60% EC
24 TOKYO GAS COMPANY LTD 9531 Jan 2026 97,400 NEW $3.8M — 0.57% EC
25 CARDINAL HEALTH INC CAH Jul 2026 15,987 NEW $3.7M — 0.56% EC
26 YARA INTERNATIONAL ASA YAR Jan 2026 73,529 NEW $3.5M — 0.53% EC
27 ANGLOGOLD ASHANTI PLC AU Jan 2026 43,547 NEW $3.5M — 0.53% EC
28 ING GROEP NV INGA Jan 2026 97,572 NEW $3.4M — 0.52% EC
29 SALESFORCE INC CRM Jul 2026 18,147 NEW $3.3M — 0.51% EC
30 BARCLAYS PLC BARC Jan 2026 482,915 NEW $3.3M — 0.51% EC
31 HSBC HOLDINGS PLC HSBA Jan 2026 153,800 NEW $3.3M — 0.50% EC
32 JAPAN POST HOLDINGS CO LTD 6178 Jan 2026 209,000 NEW $3.1M — 0.47% EC
33 LYFT INC LYFT Jul 2026 186,920 NEW $3.0M — 0.45% EC
34 ULTA BEAUTY INC ULTA Jul 2026 5,612 NEW $2.9M — 0.44% EC
35 CK ASSET HOLDINGS LTD 1113 Jan 2026 469,000 NEW $2.9M — 0.44% EC
36 UNILEVER PLC ULVR Jan 2026 44,754 NEW $2.8M — 0.43% EC
37 TORONTO DOMINION BANK (THE) TD Jul 2026 21,108 NEW $2.5M — 0.39% EC
38 AIB GROUP PLC AIBG Jan 2026 212,664 NEW $2.5M — 0.39% EC
39 IBERDROLA SA IBE Jan 2026 105,000 NEW $2.5M — 0.38% EC
40 FORTINET INC FTNT Jul 2026 14,856 NEW $2.4M — 0.37% EC
41 KIOXIA HOLDINGS CORP 285A Jan 2026 8,100 NEW $2.3M — 0.34% EC
42 DEUTSCHE TELEKOM AG DTE Jan 2026 71,211 NEW $2.2M — 0.33% EC
43 AENA SME SA AENA Jan 2026 70,343 NEW $2.2M — 0.33% EC
44 INDUSTRIVARDEN AB INDUA Jan 2026 35,064 NEW $2.0M — 0.31% EC
45 RINGCENTRAL INC RNG Jul 2026 32,474 NEW $1.8M — 0.28% EC
46 CENOVUS ENERGY INC CVE Jul 2026 59,565 NEW $1.8M — 0.27% EC
47 ADVANCED MICRO DEVICES INC AMD Jul 2026 3,691 NEW $1.8M — 0.27% EC
48 FORD MOTOR CO F Jul 2026 108,173 NEW $1.6M — 0.24% EC
49 KINGFISHER PLC KGF Jan 2026 370,657 NEW $1.5M — 0.24% EC
50 CHECK POINT SOFTWARE TECHNOLOGIES LTD CHKP Jan 2026 12,100 NEW $1.5M — 0.23% EC
51 PANDORA A/S PNDORA Jan 2026 12,200 NEW $1.5M — 0.23% EC
52 L'OREAL SA OR Jan 2026 2,811 NEW $1.3M — 0.19% EC
53 DEUTSCHE BANK AG DBK Jan 2026 33,120 NEW $1.2M — 0.19% EC
54 BARRICK MINING CORP ABX Jul 2026 30,869 NEW $1.1M — 0.17% EC
55 SANDISK CORP SNDK Jul 2026 838 NEW $1.0M — 0.16% EC
56 YANGZIJIANG SHIPBUILDING (HOLDINGS) LTD YZJSGD Jan 2026 302,000 NEW $922K — 0.14% EC
57 ASICS CORP 7936 Jan 2026 27,600 NEW $814K — 0.12% EC
58 FORTESCUE LTD FMG Jan 2026 57,939 NEW $752K — 0.11% EC
59 IAMGOLD CORP IMG Jul 2026 41,986 NEW $594K — 0.09% EC
60 AERCAP HOLDINGS NV AER Jan 2026 3,931 NEW $593K — 0.09% EC
61 ACCENTURE PLC ACN Jan 2026 3,339 NEW $554K — 0.08% EC