FRANKLIN FLOATING RATE TRUST
N-2, 1998-05-08
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As Filed with the Securities and Exchange Commission on May 8, 1998

                                                1933 Act File No. 
                                                1940 Act File No. 811-08277

                   U.S. SECURITIES AND EXCHANGE COMMISSION
                            WASHINGTON, D.C. 20549

                                   FORM N-2

REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933     /X/

Pre-Effective Amendment No.                  /   /

Post-Effective Amendment No.                 /   /

                                            AND

REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940  /X/

Amendment No.                              / 7 /

                         FRANKLIN FLOATING RATE TRUST
              (Exact Name of Registrant as Specified in Charter)

                777 MARINERS ISLAND BLVD. SAN MATEO, CA 94404
                   (Address of Principal Executive Office)

Registrant's Telephone Number, Including Area Code (650) 312-2000

       Harmon E. Burns, 777 Mariners Island Blvd., San Mateo, CA 94404
              (NAME AND ADDRESS OF AGENT FOR SERVICE OF PROCESS)

With a copy to:
                  Merrill R. Steiner, Esq.
                  Stradley, Ronon, Stevens & Young, LLP
                  2600 One Commerce Square
                  Philadelphia, PA 19103-7098

Approximate Date of Proposed Public offering: May 15, 1998

If any securities being registered on this form will be offered on a delayed or
continuous basis in reliance on Rule 415 under the Securities Act of 1933, other
than securities offered in connection with a dividend reinvestment plan check
the following box. [x]

It is proposed that this filing will become effective (check
appropriate box)

     [ ] when declared effective pursuant to section 8 (c)
     [ ] immediately upon filing pursuant to paragraph (b)
     [x] on May 15, 1998 pursuant to paragraph (b)
     [ ] 60 days after filing pursuant to paragraph (a)
     [ ] on (date) pursuant to paragraph (a) of Rule 486


     [ ] This post-effective amendment designates a new effective date for a
         previously filed registration statement.

     [ ] This Form is filed to register additional securities for an
         offering pursuant to Rule 462(b) under the Securities Act and the
         Securities Act registration statement number of the earlier
         effective registration statement for the same offering is __________.

This registration incorporates a combined prospectus pursuant to Rule 429 which
relates to an earlier registration statement filed by the Registrant on June 27,
1997, as amended to date (File No. 333-30131).

       CALCULATION OF REGISTRATION FEE UNDER THE SECURITIES ACT OF 1933

- --------------------------------------------------------------------------------
                                        Proposed     Proposed
Title of                                Maximum      Maximum
Securities                              Offering     Aggregate     Amount of
Being            Amount Being           Price        Offering      Registration
Registered        Registered            Per Unit     Price         Fee
- --------------------------------------------------------------------------------
Common Stock,
par value $0.01 (1) 10,000,000 SHARES   $10.05(3)    $100,500,000  $29,647.50

Common Stock
par value $0.01 (2) 10,000,000 SHARES   $10.00(4)    $100,000,000  $30,303

================================================================================

(1)  Currently being registered
(2)  Previously registered
(3)  Calculated pursuant to Rule 457(d) based on the net asset value per
     share of $10.05 as of May 1, 1998
(4)  Estimated solely for the purpose of calculating the registration fee.


                         FRANKLIN FLOATING RATE TRUST
                                  PROSPECTUS
                        FORM N-2 CROSS REFERENCE SHEET
                                 PART A - N-2

ITEM    CAPTION                        PROSPECTUS CAPTION
NUMBER

1.     Outside Front Cover             Outside Front Cover of Prospectus

2.     Inside Front and Outside        Not Applicable
       Back Cover Page

3.     Fee Table and Synopsis          Expense Summary; Prospectus Summary

4.     Financial Highlights            Not Applicable

5.     Plan of Distribution            Outside Front Cover; Prospectus Summary;
                                       How to Buy Common Shares; Description of
                                       Common Shares

6.     Selling Shareholders            Not Applicable

7.     Use of Proceeds                 Use of Proceeds from Sales of Common
                                       Shares; What Kinds of Securities Does
                                       the Fund Purchase?; Prospectus Summary

8.     General Description of the      Prospectus Summary; Information About
       Registrant                      the Fund; What Kinds of Securities Does
                                       the Fund Purchase?; What are the Risks
                                       of This Investment; Description of
                                       Common Shares

9.     Management                      Who Manages the Fund?; Description of
                                       Common Shares

10.    Capital Stock, Long-Term        Dividends and Distributions to
       Debt, and Other Securities      Shareholders; Taxation of the Fund and
                                       Shareholders; Description of Common
                                       Shares

11.    Defaults and Arrears on         Not Applicable
       Senior Securities

12.    Legal Proceedings               Not Applicable

13.    Table of Contents of the        Table of Contents of Statement of
       Statement of  Additional        Additional Information
       Information


                         FRANKLIN FLOATING RATE TRUST
                      STATEMENT OF ADDITIONAL INFORMATION
                        FORM N-2 CROSS REFERENCE SHEET
                                 PART B - N-2

ITEM    CAPTION                       SAI CAPTION
NUMBER

14.     Cover Page                    Not Applicable

15.     Table of Contents             Cover Page

16.     General Information and       Table of Contents
        History

17.     Investment Objective and      How does the Fund Invest its Assets?;
        Policies                      What are the Risks of this Investment?;
                                      Investment Restrictions

18.     Management                    Officers and Trustees; Investment
                                      Management and Other Services

19.     Control Persons and           Description of Common Shares
        Principal Holders of
        Securities

20.     Investment Advisory and       Investment Management and Other Services
        Other Services

21.     Brokerage Allocation and      How does the Fund Buy Securities for its
        Other Practices               Portfolio?

22.     Tax Status                    Additional Information on Distributions
                                      and Taxes

23.     Financial Statements          Financial Statements

Information required to be included in Part C is set forth under the
appropriate item, so numbered, in Part C of this Registration Statement.

The Registrant's prospectus and statement of additional information as filed
with the Securities and Exchange Commission ("SEC") under Rule 497(c) on
April 6, 1998 (File Nos. 333-30131 and 811-08277), and the supplement to the
Registrant's prospectus dated May 1, 1998 as filed with the SEC under Rule
497(e) on May 1, 1998 are hereby incorporated by reference.



                        SUPPLEMENT DATED MAY 15, 1998
                             TO THE PROSPECTUS OF
                         FRANKLIN FLOATING RATE TRUST
                             DATED APRIL 1, 1998

The prospectus is amended as follows:

1.  All references in the prospectus to the number of shares registered with
    the SEC are amended to reflect the registration of an additional
    10,000,000 Common Shares.

2.  The second paragraph on the inside cover and the five bullet points
    following the paragraph are replaced with the following:

      The Fund began offering its Common Shares and began investment
      operations on October 10, 1997.  The Fund engages in a continuous
      offering of Common Shares. The Fund has registered 20,000,000 Common
      Shares and is authorized as a business trust to issue an unlimited
      number of Common Shares. Common Shares are offered at a price equal to
      the next determined Net Asset Value per share, which as of May 1, 1998,
      was $10.05. There is no initial sales charge on purchases of Common
      Shares. An Early Withdrawal Charge of 1% will be imposed on Common
      Shares purchased after March 31, 1998, that are held less than twelve
      months and that are accepted by the Fund for repurchase in a Tender
      Offer. Certain waivers of this charge may apply. See "Early Withdrawal
      Charge." The price of Common Shares will fluctuate depending upon the
      Fund's Net Asset Value per share.

      o  Proceeds of the offering estimated at $200,398,699.50 to be
         invested by the Fund over the course of the continuous offering.

      o  Offering expenses of $ 61,603 deducted from net proceeds to Fund
         upon completion of the initial offering on October 10, 1997;
         offering expenses of  $39,697.50 deducted from net proceeds to Fund
         upon completion of the subsequent offering of an additional
         10,000,000 Common Shares commencing on or after May 15, 1998.

      o  Because Distributors will pay all sales commission to selected
         securities dealers from its own or affiliates' assets, net proceeds
         of the offering will be available to the Fund for investment.

      o  Expenses payable by Fund incurred to organize Fund estimated at
         $124,000.

      o  Organizational expenses to remain liability of Fund and be
         gradually reduced in equal installments over period not to exceed 60
         months from the date Fund commenced investment operations on October
         10, 1997.



                         FRANKLIN FLOATING RATE TRUST
                                   FORM N-2
                          PART C - OTHER INFORMATION

ITEM 24.  FINANCIAL STATEMENTS AND EXHIBITS

      (1)   Included in Part A: None

            Included in Part B: The following Financial Statements included
            in the Statement of Additional Information dated April 1, 1998,
            as filed with the SEC electronically on Form Type 497 on April 6,
            1998:

            (a)    Report of Independent Accountants dated September 19,1997;
                   and

            (b)    Statement of Assets and Liabilities dated September 8, 1997

      (2)   Exhibits:

            The following exhibits are incorporated by reference, except exhibit
            (n), which is attached herewith.

            (a)   (1)  Agreement and Declaration of Trust
                       Filing: Registration Statement on Form N-2
                       File No.  333-30131
                       Filing Date: June 27, 1997

                  (2)  Certificate of Trust
                       Filing: Post-Effective Amendment No. 1
                       Registration Statement on Form N-2
                       File No.  333-30131
                       Filing Date: December 8, 1997

            (b)   By-Laws
                  Filing: Registration Statement on Form N-2
                  File No.  333-30131
                  Filing Date: June 27, 1997

            (c)   Not Applicable

            (d)   Not Applicable

            (e)   Not Applicable

            (f)   Not Applicable

            (g)   (1)   Management Agreement
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

                  (2)   Fund Administration Agreement
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

            (h)   (1)   Distribution Agreement
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

                  (2)   Form of Dealer Agreement between Franklin/Templeton
                        Distributors, Inc. and Securities Dealers
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

            (i)   Not Applicable

            (j)   (1)   Custodian Agreement
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

                  (2)   Amendment dated May 7, 1997 to Master Custody
                        Agreement between Registrant and Bank of New York
                        dated February 16, 1996
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

                  (3)   Amendment dated October 15, 1997 to Exhibit A in the
                        Master Custody Agreement between Registrant and Bank
                        of New York dated February 16, 1997
                        Filing: Registration Statement on Form N-2
                        File No.  333-30131
                        Filing Date: March 6, 1998

            (k)   Not Applicable

            (l)   Opinion and Consent of Counsel
                  Filing: Pre-Effective Amendment No. 2 to
                  Registration Statement on Form N-2
                  File No.  333-30131
                  Filing Date: October 7, 1997

            (m)   Not Applicable

            (n)   Consent of Independent Auditors

            (o)   Not Applicable

            (p)   Form of Letter of Investment Intent
                  Filing: Registration Statement on Form N-2
                  File No.  333-30131
                  Filing Date: March 6, 1998

            (q)   Not Applicable

            (r)   Not Applicable

            (s)   Power of Attorney dated May 13, 1997
                  Filing: Registration Statement on Form N-2
                  File No.  333-30131
                  Filing Date: June 27, 1997

ITEM 25.  MARKETING ARRANGEMENTS

      None

ITEM 26.  OTHER EXPENSES OF ISSUANCE AND DISTRIBUTION

      The following table sets forth the expenses to be incurred in
      connection with the offering described in this Registration Statement:

     Securities and Exchange Commission Fees................... $ 59,950.50
     Printing and Engraving Expenses...........................       8,800
     Legal Fees................................................     120,000
     Accounting Expenses.......................................       4,000
     Blue Sky Filing Fees and Expenses.........................      12,000
     National Association of Securities Dealers Fees...........      20,550

     Total..................................................... $225,300.50

ITEM 27.  PERSONS CONTROLLED BY OR UNDER COMMON CONTROL

Not Applicable

ITEM 28.  NUMBER OF HOLDERS OF SECURITIES

120 record holders as of April 30, 1998.

ITEM 29.  INDEMNIFICATION

      Under Article III, Section 7 of Registrant's Agreement and Declaration
of Trust, if any shareholder or former shareholder of Registrant (each, a
"Shareholder") shall be exposed to liability by reason of a claim or demand
relating to his or her being or having been a Shareholder, and not because of
his or her acts or omissions, the Shareholder or former Shareholder (or his
or her heirs, executors, administrators, or other legal representatives or in
the case of a corporation or other entity, its corporate or other general
successor) shall be entitled to be held harmless from and indemnified out of
the assets of the Registrant against all loss and expense arising from such
claim or demand.

      Under Article VII, Section 2 of Registrant's Agreement and Declaration
of Trust, the Trustees of Registrant (each, a "Trustee," and collectively,
the "Trustees") shall not be responsible or liable in any event for any
neglect or wrong-doing of any officer, agent, employee, the investment
manager or principal underwriter of the Registrant, nor shall any Trustee be
responsible for the act or omission of any other Trustee, and the Registrant
out of its assets shall indemnify and hold harmless each and every Trustee
from and against any and all claims and demands whatsoever arising out of or
related to each Trustee's performance of his or her duties as a Trustee of
the Registrant; provided that nothing contained in Registrant's Agreement and
Declaration of Trust shall indemnify, hold harmless or protect any Trustee
from or against any liability to the Registrant or any Shareholder to which
he or she would otherwise be subject by reason of willful misfeasance, bad
faith, gross negligence or reckless disregard of the duties involved in the
conduct of his or her office.

      Insofar as indemnification for liabilities arising under the Securities
Act of 1933, as amended (the "1933 Act") may be permitted to Trustees,
officers and controlling persons of the Registrant pursuant to the foregoing
provisions, or otherwise, the Registrant has been advised that in the opinion
of the Securities and Exchange Commission such indemnification is against
public policy as expressed in the 1933 Act and is, therefore, unenforceable.
In the event that a claim for indemnification against such liabilities (other
than the payment by the Registrant of expenses incurred or paid by a Trustee,
officer or controlling person of the Registrant in the successful defense of
any action, suit or proceeding) is asserted by such Trustee, officer or
controlling person in connection with  securities being registered, the
Registrant will, unless in the opinion of its counsel the matter has been
settled by controlling precedent, submit to a court or appropriate
jurisdiction the question whether such indemnification is against public
policy as expressed in the 1933 Act and will be governed by the final
adjudication of such issue.

ITEM 30.  BUSINESS AND OTHER CONNECTIONS OF INVESTMENT ADVISER

      (a) Franklin Advisers, Inc.

      See "Who Manages the Fund?"

The officers and directors of the Registrant's investment adviser also serve
as officers and/or directors for (1) the investment adviser's corporate
parent, Franklin Resources, Inc., 777 Mariners Island Blvd., San Mateo, CA
94404 and/or (2) other investment companies in the Franklin Templeton Group
of Funds.  In addition, Mr. Charles B. Johnson was formerly a director of
General Host Corporation, Metro Center, One Station Place, Stamford, CT
06904-2045. For additional information please see Schedules A and D of Form
ADV of the Registrant's investment adviser (SEC File 801-26292) incorporated
herein by reference, which sets forth the officers and directors of the
Registrant's investment adviser and information as to any business,
profession, vocation or employment of a substantial nature engaged in by
those officers and directors during the past two years.

ITEM 31.  LOCATION OF ACCOUNTS AND RECORDS

The accounts, books or other documents required to be maintained by Section
31(a) of the Investment Company Act of 1940, as amended, are kept by the
Registrant or its shareholder services agent,  Franklin/Templeton Investor
Services, Inc., both of whose address is 777 Mariners Island Blvd., San
Mateo, CA 94404.

ITEM 32. MANAGEMENT SERVICES

      Not Applicable

ITEM 33. UNDERTAKINGS

      (1)   Registrant undertakes to suspend the offering of its shares until
            it amends its Prospectus if-

            (a)   subsequent to the effective date of this Registration
                  Statement, the net asset value declines more than 10% from
                  its net asset value as of the effective date of the
                  Registration Statement; or

            (b)   The net asset value increases to an amount greater than its
                  net proceeds as stated in the Prospectus.

      (2)   Registrant undertakes:

            (a)   to file, during any period in which offers or sales are
                  being made, a post-effective amendment to the registration
                  statement:

                  (1)   to include any prospectus required by Section
                        10(a)(3) of the Securities Act of 1933, as amended
                        (the "Act");

                  (2)   to reflect in the prospectus any facts or
                        events after the effective date of the registration
                        statement (or the most recent post-effective
                        amendment thereof) which, individually or in the
                        aggregate, represent a fundamental change in the
                        information set forth in the registration statement;
                        and

                  (3)   to include any material information with
                        respect to the plan of distribution not previously
                        disclosed in the registration statement or any
                        material change to such information in the
                        registration statement.

            (b)   that, for the purpose of determining any liability under
                  the 1933 Act, each such post-effective amendment shall be
                  deemed to be a new registration statement relating to the
                  securities offered therein, and the offering of those
                  securities at that time shall be deemed to be the initial
                  bona fide offering thereof; and

            (c)   to remove from registration by means of a post-effective
                  amendment any of the securities being registered which
                  remain unsold at the termination of the offering.

      (3)   Registrant further undertakes to send by first class mail or
            other means designed to ensure equally prompt delivery, within
            two business days of receipt of a written or oral request, any
            Statement of Additional Information.


                                  SIGNATURES

Pursuant to the requirements of the Securities Act of 1933 and the Investment
Company Act of 1940, the Registrant certifies that it meets all of the
requirements for effectiveness of this Registration Statement pursuant to Rule
486(b) under the Securities Act of 1933 and has duly caused this Registration
Statement to be signed on its behalf by the undersigned, thereunto duly
authorized, in the City of San Mateo, and the State of California, on the 7th
day of May, 1998.

                              FRANKLIN FLOATING RATE TRUST
                                      (Registrant)

                              BY     RUPERT H. JOHNSON, JR.*, PRESIDENT
                                     Rupert H. Johnson, Jr., President

Pursuant to the requirements of the Securities Act of 1933, this Registration
Statement has been signed below by the following persons in the capacities
and on the dates indicated:

SIGNATURE                       TITLE                    DATE

CHARLES B. JOHNSON*             Trustee &                May 7, 1998
Charles B. Johnson              Chairman of
                                the Board

FRANK H. ABBOTT, III*           Trustee                  May 7, 1998
Frank H. Abbott, III

HARRIS J. ASHTON*               Trustee                  May 7, 1998
Harris J. Ashton

RUPERT H. JOHNSON, JR.*         Trustee                  May 7, 1998
Rupert H. Johnson, Jr.          & President

MARTIN L. FLANAGAN*             Principal                May 7, 1998
Martin L. Flanagan              Financial Officer

DIOMEDES LOO-TAM*               Principal                May 7, 1998
Diomedes Loo-Tam                Accounting Officer

S. JOSEPH FORTUNATO*            Trustee                  May 7, 1998
S. Joseph Fortunato

FRANK W. T. LAHAYE*             Trustee                  May 7, 1998
Frank W. T. LaHaye

GORDON S. MACKLIN*              Trustee                  May 7, 1998
Gordon S. Macklin


*BY   Larry L. Greene, Attorney-in-Fact
     (Pursuant to Power of Attorney previously filed)



                         FRANKLIN FLOATING RATE TRUST
                            REGISTRATION STATEMENT
                                EXHIBIT INDEX

Exhibit No.       Description                             Location

EX-99.2(a)(1)     Agreement and Declaration of Trust      *

EX-99.2(a)(2)     Certificate of Trust                    *

EX-99.2(b)        By-Laws                                 *

EX-99.2(g)(1)     Management Agreement                    *

EX-99.2(g)(2)     Fund Administration Agreement           *

EX-99.2(h)(1)     Distribution Agreement                  *

EX-99.2(h)(2)     Form of Dealer Agreement between        *
                  Franklin/Templeton Distributors, Inc.
                  and Securities Dealers

EX-99.2(j)(1)     Custodian Agreement                     *

EX-99.2(j)(2)     Amendment dated May 7, 1997 to Master   *
                  Custody Agreement between Registrant
                  and Bank of New York dated February
                  16, 1996


EX-99.2(j)(3)     Amendment dated October 15, 1997 to     *
                  Exhibit A in the Master Custody
                  Agreement between Registrant and Bank
                  of New York dated February 16, 1997


EX-99.2(l)        Opinion and Consent of Counsel          *

EX-99.2(n)        Consent of Independent Auditors         Attached

EX-99.2(p)        Letter of Investment Intent             *

EX-99.2(s)        Power of Attorney dated May 13, 1997    *
*Incorporated by Reference







                         CONSENT OF INDEPENDENT AUDITORS


We consent to the incorporation by reference in the Registration Statement of
Franklin Floating Rate Trust on Form N-2 of our report dated September 19, 1997,
on our audit of the Statement of Assets and Liabilities of the Franklin Floating
Rate Trust as of September 8, 1997, which report is included in the Statement of
Additional Information dated April 1, 1998, which is incorporated by reference
in the Registration Statement.




                                 /s/ Coopers & Lybrand L.L.P.


San Francisco, California
May 7, 1998




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