Franklin Universal Trust announced a monthly distribution from net investment income of $0.0425 per share, payable on April 30, 2024, to shareholders of record on April 17, 2024 (Ex-Dividend Date: April 16, 2024). The Fund?s primary investment objective is to provide high, current income consistent with preservation of capital. Its secondary objective is growth of income through dividend increases and capital appreciation.

Distributions may vary based on the Fund?s net investment income. Past distributions are not indicative of future trends.