Franklin Small-Mid Cap Growth Fund

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Franklin Small-Mid Cap Growth Fund April 30, 2018 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 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 semi- and annual financial statements of the fund. 90214J101 2U INC 930,000 $74,855,700 2.16% N/A N/A 003654100 ABIOMED INC 47,500 $14,295,125 0.41% N/A N/A 008252108 AFFILIATED MANAGERS GROUP INC 61,100 $10,072,946 0.29% N/A N/A 00847X104 AGIOS PHARMACEUTICALS INC 50,000 $4,195,500 0.12% N/A N/A 011642105 ALARM.COM HOLDINGS INC 402,000 $16,232,760 0.47% N/A N/A 012653101 ALBEMARLE CORP 140,000 $13,574,400 0.39% N/A N/A B3P6D26 ALKERMES PLC 154,000 $6,817,580 0.20% N/A N/A 01748X102 ALLEGIANT TRAVEL CO 71,609 $11,475,342 0.33% N/A N/A 02043Q107 ALNYLAM PHARMACEUTICALS INC 70,000 $6,617,100 0.19% N/A N/A 032095101 AMPHENOL CORP 440,000 $36,832,400 1.06% N/A N/A 032654105 ANALOG DEVICES INC 514,000 $44,897,900 1.30% N/A N/A 03662Q105 ANSYS INC 108,000 $17,459,280 0.50% N/A N/A G6095L109 APTIV PLC 508,000 $42,966,640 1.24% N/A N/A 040413106 ARISTA NETWORKS INC 20,000 $5,291,000 0.15% N/A N/A 363576109 ARTHUR J GALLAGHER & CO 659,000 $46,123,410 1.33% N/A N/A BZ09BD1 ATLASSIAN CORP PLC 275,200 $15,405,696 0.44% N/A N/A 052769106 AUTODESK INC 415,000 $52,248,500 1.51% N/A N/A 053611109 AVERY DENNISON CORP 197,000 $20,647,570 0.60% N/A N/A BSFWCF5 AXALTA COATING SYSTEMS LTD 940,203 $29,052,272 0.84% N/A N/A 09061G101 BIOMARIN PHARMACEUTICAL INC 200,766 $16,765,968 0.48% N/A N/A 09215C105 BLACK KNIGHT INC 220,000 $10,703,000 0.31% N/A N/A 122017106 BURLINGTON STORES INC 236,200 $32,087,770 0.93% N/A N/A 05605H100 BWX TECHNOLOGIES INC 334,000 $22,645,200 0.65% N/A N/A 127097103 CABOT OIL & GAS CORP 779,010 $18,626,129 0.54% N/A N/A 12503M108 CBOE GLOBAL MARKETS INC 272,000 $29,044,160 0.84% N/A N/A 12504L109 CBRE GROUP INC 677,100 $30,679,401 0.89% N/A N/A 15135B101 CENTENE CORP 127,000 $13,789,660 0.40% N/A N/A 15677J108 CERIDIAN HCM HOLDING INC 46,600 $1,471,628 0.04% N/A N/A 1

156782104 CERNER CORP 458,502 $26,707,741 0.77% N/A N/A 171340102 CHURCH & DWIGHT CO INC 721,800 $33,347,160 0.96% N/A N/A 192422103 COGNEX CORP 861,000 $39,821,250 1.15% N/A N/A 192479103 COHERENT INC 43,000 $7,233,460 0.21% N/A N/A 20605P101 CONCHO RESOURCES INC 171,700 $26,992,957 0.78% N/A N/A 22160N109 COSTAR GROUP INC 147,000 $53,899,020 1.56% N/A N/A 252131107 DEXCOM INC 308,314 $22,562,418 0.65% N/A N/A 256163106 DOCUSIGN INC 62,500 $2,414,375 0.07% N/A N/A 256746108 DOLLAR TREE INC 492,500 $47,225,825 1.36% N/A N/A 25754A201 DOMINOS PIZZA INC 151,000 $36,501,230 1.05% N/A N/A DDD818468 DRAFTKINGS INC 7,974,537 $12,136,942 0.35% N/A N/A 23355L106 DXC TECHNOLOGY CO 307,000 $31,639,420 0.91% N/A N/A 28176E108 EDWARDS LIFESCIENCES CORP 494,600 $62,992,256 1.82% N/A N/A 29444U700 EQUINIX INC 68,778 $28,941,094 0.83% N/A N/A 30161Q104 EXELIXIS INC 356,600 $7,424,412 0.21% N/A N/A 30212P303 EXPEDIA GROUP INC 258,500 $29,763,690 0.86% N/A N/A 33616C100 FIRST REPUBLIC BANK/CA 350,000 $32,504,500 0.94% N/A N/A 339041105 FLEETCOR TECHNOLOGIES INC 172,000 $35,652,160 1.03% N/A N/A 34959J108 FORTIVE CORP 393,100 $27,638,861 0.80% N/A N/A 380237107 GODADDY INC 956,800 $61,771,008 1.78% N/A N/A 38526M106 GRAND CANYON EDUCATION INC 369,000 $38,372,310 1.11% N/A N/A 40171V100 GUIDEWIRE SOFTWARE INC 244,000 $20,647,280 0.60% N/A N/A 418056107 HASBRO INC 141,000 $12,420,690 0.36% N/A N/A 422806109 HEICO CORP 127,375 $11,189,893 0.32% N/A N/A 428291108 HEXCEL CORP 597,809 $39,736,364 1.15% N/A N/A 436440101 HOLOGIC INC 860,000 $33,359,400 0.96% N/A N/A 44109J106 HOSTESS BRANDS INC 716,300 $10,064,015 0.29% N/A N/A 45167R104 IDEX CORP 175,000 $23,390,500 0.67% N/A N/A 8611239C3 IFT-MONEY MARKET PORTFOLIO 114,428,231 $114,428,231 3.30% N/A N/A BD0Q558 IHS MARKIT LTD 861,815 $42,340,970 1.22% N/A N/A 452327109 ILLUMINA INC 165,000 $39,753,450 1.15% N/A N/A 45337C102 INCYTE CORP 196,614 $12,178,271 0.35% N/A N/A 45688C107 INGEVITY CORP 276,780 $21,265,007 0.61% N/A N/A B5TRVW5 INPHI CORP 595,000 $17,005,100 0.49% N/A N/A 45784P101 INSULET CORP 284,217 $24,442,662 0.71% N/A N/A 458118106 INTEGRATED DEVICE TECHNOLOGY INC 667,000 $18,562,610 0.54% N/A N/A N47279109 INTERXION HOLDING NV 356,000 $23,147,120 0.67% N/A N/A 462222100 IONIS PHARMACEUTICALS INC 107,000 $4,604,210 0.13% N/A N/A 450056106 IRHYTHM TECHNOLOGIES INC 191,450 $11,132,817 0.32% N/A N/A 47009K107 JAGGED PEAK ENERGY INC 1,560,000 $22,354,800 0.64% N/A N/A 2

B4Q5ZN4 JAZZ PHARMACEUTICALS PLC 61,000 $9,274,440 0.27% N/A N/A 445658107 JB HUNT TRANSPORT SERVICES INC 281,000 $32,997,830 0.95% N/A N/A 482480100 KLA-TENCOR CORP 335,000 $34,082,900 0.98% N/A N/A 513272104 LAMB WESTON HOLDINGS INC 180,000 $11,757,600 0.34% N/A N/A 512807108 LAM RESEARCH CORP 216,000 $39,972,960 1.15% N/A N/A 530307305 LIBERTY BROADBAND CORP 294,500 $20,877,105 0.60% N/A N/A 54142L109 LOGMEIN INC 220,000 $24,244,000 0.70% N/A N/A 57060D108 MARKETAXESS HOLDINGS INC 151,500 $30,092,445 0.87% N/A N/A 589378108 MERCURY SYSTEMS INC 343,000 $11,003,440 0.32% N/A N/A 592688105 METTLER-TOLEDO INTERNATIONAL INC 71,500 $40,034,995 1.16% N/A N/A 552953101 MGM RESORTS INTERNATIONAL 270,000 $8,483,400 0.24% N/A N/A 595017104 MICROCHIP TECHNOLOGY INC 550,000 $46,013,000 1.33% N/A N/A 609839105 MONOLITHIC POWER SYSTEMS INC 190,000 $22,249,000 0.64% N/A N/A 61174X109 MONSTER BEVERAGE CORP 538,900 $29,639,500 0.86% N/A N/A 615369105 MOODY'S CORP 211,000 $34,224,200 0.99% N/A N/A 55354G100 MSCI INC 64,000 $9,589,120 0.28% N/A N/A 64125C109 NEUROCRINE BIOSCIENCES INC 152,342 $12,351,889 0.36% N/A N/A 64157F103 NEVRO CORP 221,500 $19,793,240 0.57% N/A N/A 651229106 NEWELL BRANDS INC 409,376 $11,311,058 0.33% N/A N/A B9CGTC3 NORWEGIAN CRUISE LINE HOLDINGS LTD 335,800 $17,955,226 0.52% N/A N/A 62944T105 NVR INC 14,000 $43,400,000 1.25% N/A N/A 679580100 OLD DOMINION FREIGHT LINE INC 143,000 $19,141,980 0.55% N/A N/A 67103H107 O'REILLY AUTOMOTIVE INC 103,300 $26,452,031 0.76% N/A N/A 695156109 PACKAGING CORP OF AMERICA 179,500 $20,766,355 0.60% N/A N/A 70975L107 PENUMBRA INC 136,647 $16,992,054 0.49% N/A N/A 72348P104 PINNACLE FOODS INC 442,000 $26,696,800 0.77% N/A N/A 743315103 PROGRESSIVE CORP 436,000 $26,286,440 0.76% N/A N/A DDD645784 PROTERRA INC 1,416,913 $8,356,883 0.24% N/A N/A 74736L109 Q2 HOLDINGS INC 181,700 $8,948,725 0.26% N/A N/A 756577102 RED HAT INC 219,000 $35,710,140 1.03% N/A N/A 760759100 REPUBLIC SERVICES INC 427,000 $27,618,360 0.80% N/A N/A 761330109 REVANCE THERAPEUTICS INC 344,100 $9,617,595 0.28% N/A N/A 773903109 ROCKWELL AUTOMATION INC 331,000 $54,459,430 1.57% N/A N/A 776696106 ROPER TECHNOLOGIES INC 327,530 $86,530,150 2.50% N/A N/A 778296103 ROSS STORES INC 587,700 $47,515,545 1.37% N/A N/A 749660106 RPC INC 567,000 $10,211,670 0.29% N/A N/A 78410G1040 SBA COMMUNICATIONS CORP 340,000 $54,478,200 1.57% N/A N/A 812578102 SEATTLE GENETICS INC 94,500 $4,837,455 0.14% N/A N/A 81762P102 SERVICENOW INC 379,000 $62,967,060 1.82% N/A N/A 83088M102 SKYWORKS SOLUTIONS INC 81,000 $7,027,560 0.20% N/A N/A 3

83200N103 SMARTSHEET INC 71,700 $1,383,810 0.04% N/A N/A 852234103 SQUARE INC 459,000 $21,729,060 0.63% N/A N/A 854502101 STANLEY BLACK & DECKER INC 234,000 $33,132,060 0.96% N/A N/A 78486Q101 SVB FINANCIAL GROUP 149,100 $44,671,851 1.29% N/A N/A 871503108 SYMANTEC CORP 624,000 $17,340,960 0.50% N/A N/A 871607107 SYNOPSYS INC 112,000 $9,577,120 0.28% N/A N/A 883203101 TEXTRON INC 329,800 $20,493,772 0.59% N/A N/A 885160101 THOR INDUSTRIES INC 176,500 $18,733,710 0.54% N/A N/A 892356106 TRACTOR SUPPLY CO 261,900 $17,809,200 0.51% N/A N/A 89400J107 TRANSUNION 65,000 $4,219,150 0.12% N/A N/A 896239100 TRIMBLE INC 98,000 $3,390,800 0.10% N/A N/A 91336L107 UNIVAR INC 922,000 $25,410,320 0.73% N/A N/A 91879Q109 VAIL RESORTS INC 99,500 $22,816,345 0.66% N/A N/A 92345Y106 VERISK ANALYTICS INC 483,000 $51,415,350 1.48% N/A N/A 92552V100 VIASAT INC 442,050 $28,282,359 0.82% N/A N/A 929160109 VULCAN MATERIALS CO 232,000 $25,912,080 0.75% N/A N/A 92927K102 WABCO HOLDINGS INC 226,000 $29,151,740 0.84% N/A N/A 941848103 WATERS CORP 146,000 $27,507,860 0.79% N/A N/A 957638109 WESTERN ALLIANCE BANCORP 175,000 $10,321,500 0.30% N/A N/A G96629103 WILLIS TOWERS WATSON PLC 154,000 $22,870,540 0.66% N/A N/A BFZCHN7 WIX.COM LTD 242,000 $19,904,500 0.57% N/A N/A B8K6ZD1 WORKDAY INC 350,000 $43,694,000 1.26% N/A N/A 981558109 WORLDPAY INC 818,700 $66,494,814 1.92% N/A N/A 983134107 WYNN RESORTS LTD 144,000 $26,811,360 0.77% N/A N/A 983919101 XILINX INC 80,000 $5,139,200 0.15% N/A N/A 98980G102 ZSCALER INC 182,000 $5,439,980 0.16% N/A N/A 4

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 and/or other Swap contract positions are displayed as exposure to the issuing counterparty (i.e. "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 differs 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. Investors should carefully consider a fund s investment goals, risks, charges and expenses before investing. To obtain a prospectus, which contains this and other information, talk to your financial advisor, call us at 1-800/DIAL BEN (1-800/342-5236) or visit our website at. Please read the prospectus carefully before investing. Franklin Templeton Distributors Inc., One Franklin Parkway, San Mateo, CA 94403. Franklin Templeton Distributors, Inc. One Franklin Parkway San Mateo, CA 94403 (800) DIAL BEN/342-5236 2018 Franklin Templeton Investments. All rights reserved. 5