0001752724-21-249166.txt : 20211122 0001752724-21-249166.hdr.sgml : 20211122 20211122151233 ACCESSION NUMBER: 0001752724-21-249166 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211122 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TEMPLETON GLOBAL INCOME FUND CENTRAL INDEX KEY: 0000828803 IRS NUMBER: 222864496 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05459 FILM NUMBER: 211432040 BUSINESS ADDRESS: STREET 1: 300 S.E. 2ND STREET CITY: FORT LAUDERDALE STATE: FL ZIP: 33301-1923 BUSINESS PHONE: 9545277500 MAIL ADDRESS: STREET 1: 300 S.E. 2ND STREET CITY: FORT LAUDERDALE STATE: FL ZIP: 33301-1923 FORMER COMPANY: FORMER CONFORMED NAME: TEMPLETON GLOBAL INCOME FUND INC DATE OF NAME CHANGE: 19920703 NPORT-P 1 primary_doc.xml NPORT-P false 0000828803 XXXXXXXX Templeton Global Income Fund 811-05459 0000828803 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54930035WQZLGC45RZ35 Monetary Authority of Singapore Bill N/A 28950000.00000000 PA 21313364.38000000 2.840845359518 Long STIV UST SG N 2 2021-11-19 None 0.00000000 N N N N N N Arab Republic of Egypt 529900GFIVH4086NMH82 Arab Republic of Egypt Treasury Bills N/A 22500000.00000000 PA 1371178.07000000 0.182763489976 Long STIV NUSS EG N 2 2022-02-22 None 0.00000000 N N N N N N 2021-11-01 Templeton Global Income Fund Ryan Wheeler Ryan Wheeler Interim Chief Financial Officer, Chief Accounting Officer and Treasurer XXXX NPORT-EX 2 TGIF.htm
Not
FDIC
Insured
May
Lose
Value
No
Bank
Guarantee
TLGIM-Q3PH
1
Statement
of
Investments
(unaudited)
Templeton
Global
Income
Fund
2
Notes
to
Statement
of
Investments
13
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited),
September
30,
2021
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
2
a
a
Industry
Principal
Amount
*
a
Value
a
a
a
a
a
a
Foreign
Government
and
Agency
Securities
73.1%
Argentina
0.7%
a
Argentina
BONCER
,
Index
Linked,
1.2%,
3/18/22
.......
271,644,009
ARS
$
1,389,561
Index
Linked,
1.4%,
3/25/23
.......
280,719,931
ARS
1,354,286
Index
Linked,
1.45%,
8/13/23
......
10,041
ARS
48
Index
Linked,
1.5%,
3/25/24
.......
301,104,608
ARS
1,337,652
Argentina
Government
Bond,
15.5%,
10/17/26
.....................
512,895,000
ARS
1,012,094
5,093,641
Brazil
5.8%
Brazil
Notas
do
Tesouro
Nacional
,
10%,
1/01/25
..................
37,140,000
BRL
6,779,570
10%,
1/01/27
..................
121,360,000
BRL
21,788,553
10%,
1/01/29
..................
9,230,000
BRL
1,627,412
10%,
1/01/31
..................
77,560,000
BRL
13,381,451
43,576,986
China
4.7%
China
Government
Bond,
2.93%,
12/10/22
.....................
228,000,000
CNY
35,592,849
Colombia
4.2%
Colombia
Government
Bond
,
Senior
Bond,
4.375%,
3/21/23
.....
149,000,000
COP
39,267
Senior
Bond,
9.85%,
6/28/27
......
237,000,000
COP
72,977
Colombia
Titulos
de
Tesoreria
,
B,
7%,
5/04/22
.................
4,020,500,000
COP
1,082,532
B,
10%,
7/24/24
................
73,279,000,000
COP
21,487,236
B,
7.5%,
8/26/26
...............
10,320,300,000
COP
2,809,435
B,
6%,
4/28/28
.................
13,320,000,000
COP
3,292,807
B,
7.75%,
9/18/30
..............
9,129,700,000
COP
2,449,199
31,233,453
Ecuador
3.2%
b
Ecuador
Government
Bond
,
Senior
Note
,
144A,
0.5%,
7/31/30
..
5,633,000
4,731,776
Senior
Bond,
144A,
0.5%,
7/31/35
..
19,496,000
12,940,665
Senior
Bond,
144A,
0.5%,
7/31/40
..
10,291,000
5,988,179
23,660,620
Ghana
3.8%
Ghana
Government
Bond
,
18.75%,
1/24/22
................
8,600,000
GHS
1,448,509
17.6%,
11/28/22
................
150,000
GHS
25,372
Senior
Note,
17.6%,
2/20/23
......
10,130,000
GHS
1,709,753
18.85%,
9/28/23
................
13,670,000
GHS
2,327,497
19.25%,
11/27/23
...............
380,000
GHS
64,950
Senior
Note,
17.7%,
3/18/24
......
47,440,000
GHS
7,884,520
19.75%,
3/25/24
................
8,520,000
GHS
1,472,005
21.7%,
3/17/25
................
12,110,000
GHS
2,177,583
19.25%,
6/23/25
................
7,340,000
GHS
1,239,907
Senior
Note,
18.3%,
3/02/26
......
11,230,000
GHS
1,826,582
19%,
11/02/26
.................
25,560,000
GHS
4,205,415
19.75%,
3/15/32
................
25,560,000
GHS
4,312,793
28,694,886
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
See
Notes
to
Statement
of
Investments.
Quarterly
Statement
of
Investments
3
a
a
Industry
Principal
Amount
*
a
Value
a
a
a
a
a
a
Foreign
Government
and
Agency
Securities
(continued)
India
4.4%
India
Government
Bond
,
Senior
Note,
5.22%,
6/15/25
......
117,000,000
INR
$
1,572,883
7.59%,
1/11/26
.................
1,433,000,000
INR
20,748,264
7.27%,
4/08/26
................
79,000,000
INR
1,131,797
8.33%,
7/09/26
................
624,000,000
INR
9,292,495
32,745,439
Indonesia
11.7%
Indonesia
Government
Bond
,
FR43,
10.25%,
7/15/22
..........
4,826,000,000
IDR
355,343
FR63,
5.625%,
5/15/23
..........
436,562,000,000
IDR
31,333,332
FR46,
9.5%,
7/15/23
............
11,430,000,000
IDR
873,084
FR39,
11.75%,
8/15/23
..........
2,703,000,000
IDR
214,562
FR70,
8.375%,
3/15/24
..........
104,477,000,000
IDR
7,973,101
FR44,
10%,
9/15/24
.............
1,618,000,000
IDR
129,870
FR81,
6.5%,
6/15/25
............
201,654,000,000
IDR
14,814,964
FR86,
5.5%,
4/15/26
............
424,218,000,000
IDR
29,993,880
FR59,
7%,
5/15/27
..............
32,233,000,000
IDR
2,416,490
88,104,626
Mexico
3.7%
Mexican
Bonos
Desarr
Fixed
Rate
,
M,
Senior
Note,
7.25%,
12/09/21
...
297,180,000
MXN
14,440,466
M,
6.5%,
6/09/22
...............
232,730,000
MXN
11,340,169
M,
Senior
Bond,
8%,
12/07/23
.....
44,550,000
MXN
2,233,956
28,014,591
Norway
3.7%
b
Norway
Government
Bond
,
144A,
Reg
S,
2%,
5/24/23
........
102,083,000
NOK
11,903,926
144A,
Reg
S,
3%,
3/14/24
........
85,878,000
NOK
10,274,589
144A,
Reg
S,
1.75%,
3/13/25
......
28,937,000
NOK
3,364,350
144A,
Reg
S,
1.5%,
2/19/26
.......
17,165,000
NOK
1,975,219
27,518,084
Oman
1.9%
b
Oman
Government
Bond,
Senior
Bond,
144A,
4.75%,
6/15/26
............
13,650,000
14,024,720
Russia
4.9%
Russia
Government
Bond,
7%,
8/16/23
2,700,000,000
RUB
37,034,739
South
Korea
17.1%
Korea
Monetary
Stabilization
Bond,
Senior
Note
,
0.905%,
4/02/23
......
20,280,000,000
KRW
17,006,617
Korea
Treasury
Bond
,
2.25%,
9/10/23
................
19,359,000,000
KRW
16,598,010
0.875%,
12/10/23
...............
22,561,000,000
KRW
18,782,991
Senior
Note,
1.125%,
6/10/24
......
23,510,400,000
KRW
19,602,595
1.375%,
9/10/24
................
11,135,070,000
KRW
9,328,168
3%,
9/10/24
...................
5,310,000,000
KRW
4,656,758
1.875%,
6/10/26
................
50,619,000,000
KRW
42,547,529
128,522,668
Sri
Lanka
0.4%
b
Sri
Lanka
Government
Bond
,
Senior
Note,
144A,
5.75%,
4/18/23
..
200,000
132,808
Senior
Note,
144A,
6.35%,
6/28/24
..
400,000
256,672
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
4
a
a
Industry
Principal
Amount
*
a
Value
a
a
a
a
a
a
Foreign
Government
and
Agency
Securities
(continued)
Sri
Lanka
(continued)
b
Sri
Lanka
Government
Bond,
(continued)
Senior
Bond,
144A,
6.85%,
11/03/25
960,000
$
605,702
Senior
Bond,
144A,
6.2%,
5/11/27
..
2,720,000
1,674,378
Senior
Bond,
144A,
6.75%,
4/18/28
.
210,000
128,717
Senior
Bond,
144A,
7.85%,
3/14/29
.
299,000
184,059
2,982,336
Supranational
1.2%
c
Inter-American
Development
Bank,
Senior
Bond,
7.5%,
12/05/24
......
185,000,000
MXN
9,104,141
Turkey
1.7%
Turkey
Government
Bond
,
13.9%,
11/09/22
................
56,290,000
TRY
6,123,021
12.2%,
1/18/23
................
3,790,000
TRY
402,457
7.1%,
3/08/23
.................
16,150,000
TRY
1,587,786
16.2%,
6/14/23
................
20,020,000
TRY
2,217,113
8.8%,
9/27/23
.................
10,390,000
TRY
1,006,882
10.4%,
3/20/24
................
880,000
TRY
85,577
12.6%,
10/01/25
................
9,710,000
TRY
932,792
12,355,628
Total
Foreign
Government
and
Agency
Securities
(Cost
$599,478,078)
............
548,259,407
Number
of
Contracts
Notional
Amount
#
a
a
aa
Options
Purchased
0.5%
Calls
-
Over-the-Counter
Currency
Options
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
86.50
JPY,
Expires
12/20/21
..
1
6,752,000
AUD
4,034
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
February
Strike
Price
107.45
JPY,
Expires
2/23/22
..
1
5,966,000
226,807
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
July
Strike
Price
115.55
JPY,
Expires
7/18/22
.......
1
17,616,000
135,565
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
20.98
MXN,
Expires
10/07/21
.
1
12,159,000
28,657
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
March
Strike
Price
21.03
MXN,
Expires
3/04/22
..
1
4,707,000
143,970
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
February
Strike
Price
21.41
MXN,
Expires
2/03/22
..
1
9,213,000
179,225
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
December
Strike
Price
21.60
MXN,
Expires
12/28/21
.
1
4,485,000
52,033
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
June
Strike
Price
22.02
MXN,
Expires
6/09/22
..
1
9,298,000
258,468
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
See
Notes
to
Statement
of
Investments.
Quarterly
Statement
of
Investments
5
a
a
Number
of
Contracts
Notional
Amount
#
a
Value
a
a
a
a
aa
a
a
Options
Purchased
(continued)
Calls
-
Over-the-Counter
(continued)
Currency
Options
(continued)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
22.32
MXN,
Expires
8/29/22
..
1
3,589,000
$
120,215
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
23.44
MXN,
Expires
12/22/22
.
1
11,158,000
355,887
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
26.30
MXN,
Expires
10/19/23
.
1
974,000
31,765
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
26.30
MXN,
Expires
10/19/23
.
1
2,917,000
95,132
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
26.30
MXN,
Expires
10/19/23
.
1
2,917,000
95,132
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
29.19
MXN,
Expires
8/29/24
..
1
5,093,000
172,430
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
29.71
MXN,
Expires
8/09/24
..
1
5,093,000
153,585
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
December
Strike
Price
29.73
MXN,
Expires
12/07/21
.
1
6,145,000
383
2,053,288
Puts
-
Over-the-Counter
Currency
Options
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
75.00
JPY,
Expires
12/20/21
..
1
13,504,000
AUD
29,855
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
June
Strike
Price
79.55
JPY,
Expires
6/03/22
.......
1
52,638,000
AUD
1,085,639
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
81.61
JPY,
Expires
12/14/21
..
1
11,950,000
AUD
217,634
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
July
Strike
Price
108.65
JPY,
Expires
7/18/22
......
1
26,440,000
361,461
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
June
Strike
Price
18.70
MXN,
Expires
6/09/22
..
1
5,566,000
9,724
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
18.76
MXN,
Expires
10/27/21
.
1
6,790,000
56
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
June
Strike
Price
19.04
MXN,
Expires
6/09/22
..
1
5,566,000
15,642
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
February
Strike
Price
19.37
MXN,
Expires
2/24/22
..
1
1,794,000
4,620
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
19.41
MXN,
Expires
8/11/22
..
1
2,102,000
11,540
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
6
a
a
Number
of
Contracts
Notional
Amount
#
a
Value
a
a
a
a
aa
a
a
Options
Purchased
(continued)
Puts
-
Over-the-Counter
(continued)
Currency
Options
(continued)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.58
MXN,
Expires
10/07/21
.
1
6,015,000
$
13
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.85
MXN,
Expires
10/19/23
.
1
1,458,000
14,840
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.85
MXN,
Expires
10/19/23
.
1
488,000
4,967
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.85
MXN,
Expires
10/19/23
.
1
1,458,000
14,840
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
November
Strike
Price
20.34
MXN,
Expires
11/09/21
.
1
2,875,000
15,860
1,786,691
Total
Options
Purchased
(Cost
$5,408,854)
.....................................
3,839,979
Short
Term
Investments
20.6%
a
a
Principal
Amount
*
a
Value
a
a
a
a
a
a
Foreign
Government
and
Agency
Securities
15.2%
Brazil
3.4%
d
Brazil
Letras
do
Tesouro
Nacional
,
7/01/24
......................
24,730,000
BRL
3,489,358
d
Brazil
Notas
do
Tesouro
Nacional
,
1/01/25
......................
165,550,000
BRL
22,167,551
25,656,909
Egypt
2.5%
d
Egypt
Treasury
Bills
,
10/05/21
.....................
61,200,000
EGP
3,897,103
12/14/21
.....................
206,000,000
EGP
12,818,685
2/22/22
......................
22,500,000
EGP
1,371,178
e
6/14/22
......................
12,600,000
EGP
739,966
18,826,932
Japan
4.7%
d
Japan
Treasury
Bills
,
10/25/21
.....................
94,000,000
JPY
844,664
11/22/21
.....................
1,475,950,000
JPY
13,263,783
12/20/21
.....................
1,690,550,000
JPY
15,193,762
2/10/22
......................
642,300,000
JPY
5,773,634
35,075,843
Singapore
4.6%
d
Singapore
Treasury
Bills
,
10/15/21
.....................
15,710,000
SGD
11,568,763
11/12/21
.....................
2,240,000
SGD
1,649,204
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
See
Notes
to
Statement
of
Investments.
Quarterly
Statement
of
Investments
7
Short
Term
Investments
(continued)
a
a
Principal
Amount
*
a
Value
a
a
a
a
a
a
Foreign
Government
and
Agency
Securities
(continued)
Singapore
(continued)
d
Singapore
Treasury
Bills,
(continued)
11/19/21
.....................
28,950,000
SGD
$
21,313,364
34,531,331
Total
Foreign
Government
and
Agency
Securities
(Cost
$118,612,484)
.............
114,091,015
Industry
Shares
Money
Market
Funds
5.4%
United
States
5.4%
f,g
Institutional
Fiduciary
Trust
-
Money
Market
Portfolio,
0.01%
..........
40,262,414
40,262,414
Total
Money
Market
Funds
(Cost
$40,262,414)
..................................
40,262,414
a
a
a
a
a
Total
Short
Term
Investments
(Cost
$158,874,898
)
...............................
154,353,429
a
a
a
Total
Investments
(Cost
$763,761,830)
94.2%
...................................
$706,452,815
Options
Written
(0.3)%
.......................................................
(2,261,705)
Other
Assets,
less
Liabilities
6.1%
.............................................
46,023,131
Net
Assets
100.0%
...........................................................
$750,214,241
a
a
a
a
Number
of
Contracts
Notional
Amount
#
a
a
a
a
a
Options
Written
(0.3)%
a
Calls
-
Over-the-Counter
a
Currency
Options
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
81.20
JPY,
Expires
12/20/21
..
1
6,752,000
AUD
(64,811)
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
March
Strike
Price
83.40
JPY,
Expires
3/03/22
.......
1
8,773,000
AUD
(62,408)
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
July
Strike
Price
111.25
JPY,
Expires
7/18/22
.......
1
26,440,000
(552,442)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
November
Strike
Price
20.34
MXN,
Expires
11/09/21
.
1
2,875,000
(73,675)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
March
Strike
Price
20.56
MXN,
Expires
3/04/22
..
1
1,765,000
(74,108)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
February
Strike
Price
20.86
MXN,
Expires
2/03/22
..
1
3,071,000
(90,242)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
February
Strike
Price
21.71
MXN,
Expires
2/24/22
..
1
2,063,000
(37,945)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
22.06
MXN,
Expires
8/11/22
..
1
2,102,000
(74,026)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
March
Strike
Price
22.55
MXN,
Expires
3/04/22
..
1
1,765,000
(20,081)
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
8
a
a
a
Number
of
Contracts
Notional
Amount
#
a
Value
a
a
a
a
a
a
Options
Written
(continued)
a
Calls
-
Over-the-Counter
(continued)
a
Currency
Options
(continued)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
22.61
MXN,
Expires
10/07/21
.
1
6,079,000
$
(150)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
February
Strike
Price
22.73
MXN,
Expires
2/03/22
..
1
6,142,000
(48,779)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
22.75
MXN,
Expires
12/22/22
.
1
2,317,000
(94,001)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
22.75
MXN,
Expires
12/22/22
.
1
1,031,000
(41,828)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
December
Strike
Price
23.08
MXN,
Expires
12/28/21
.
1
1,496,000
(5,219)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
24.95
MXN,
Expires
12/22/22
.
1
3,347,000
(66,418)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
June
Strike
Price
25.41
MXN,
Expires
6/09/22
..
1
7,420,000
(47,331)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
December
Strike
Price
27.93
MXN,
Expires
12/07/21
.
1
2,048,000
(266)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
34.95
MXN,
Expires
10/19/23
.
1
302,000
(2,388)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
34.95
MXN,
Expires
10/19/23
.
1
1,458,000
(11,531)
(1,367,649)
Puts
-
Over-the-Counter
Currency
Options
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
68.40
JPY,
Expires
12/20/21
..
1
6,752,000
AUD
(1,982)
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
June
Strike
Price
73.30
JPY,
Expires
6/03/22
.......
1
26,319,000
AUD
(183,549)
Foreign
Exchange
AUD/JPY,
Counterparty
CITI,
December
Strike
Price
78.33
JPY,
Expires
12/14/21
..
1
17,943,000
AUD
(111,405)
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
February
Strike
Price
95.85
JPY,
Expires
2/23/22
...
1
5,966,000
(1,067)
Foreign
Exchange
USD/JPY,
Counterparty
CITI,
January
Strike
Price
108.05
JPY,
Expires
1/18/22
..
1
8,824,000
(36,451)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.05
MXN,
Expires
10/07/21
.
1
6,015,000
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.32
MXN,
Expires
10/07/21
.
1
10,936,000
(4)
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
See
Notes
to
Statement
of
Investments.
Quarterly
Statement
of
Investments
9
a
a
a
Number
of
Contracts
Notional
Amount
#
a
Value
a
a
a
a
a
a
Options
Written
(continued)
a
Puts
-
Over-the-Counter
(continued)
a
Currency
Options
(continued)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
19.71
MXN,
Expires
10/27/21
.
1
6,790,000
$
(2,322)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
June
Strike
Price
19.84
MXN,
Expires
6/09/22
..
1
9,298,000
(74,133)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
19.93
MXN,
Expires
12/22/22
.
1
1,031,000
(10,841)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
December
Strike
Price
19.93
MXN,
Expires
12/22/22
.
1
2,317,000
(24,364)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
20.50
MXN,
Expires
8/11/22
..
1
2,102,000
(35,867)
Foreign
Exchange
USD/MXN,
Counterparty
MSCO,
August
Strike
Price
21.35
MXN,
Expires
8/29/22
..
1
3,589,000
(122,982)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
22.32
MXN,
Expires
10/19/23
.
1
974,000
(41,359)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
22.32
MXN,
Expires
10/19/23
.
1
2,917,000
(123,865)
Foreign
Exchange
USD/MXN,
Counterparty
CITI,
October
Strike
Price
22.32
MXN,
Expires
10/19/23
.
1
2,917,000
(123,865)
(894,056)
Total
Options
Written
(Premiums
received
$3,047,914)
...........................
$
(2,261,705)
#
Notional
amount
is
the
number
of
units
specified
in
the
contract,
and
can
include
currency
units,
bushels,
shares,
pounds,
barrels
or
other
units.
Currency
units
are
stated
in
U.S.
dollars
unless
otherwise
indicated.
*
The
principal
amount
is
stated
in
U.S.
dollars
unless
otherwise
indicated.
a
Redemption
price
at
maturity
is
adjusted
for
inflation.
b
Security
was
purchased
pursuant
to
Rule
144A
or
Regulation
S
under
the
Securities
Act
of
1933.
144A
securities
may
be
sold
in
transactions
exempt
from
registration
only
to
qualified
institutional
buyers
or
in
a
public
offering
registered
under
the
Securities
Act
of
1933.
Regulation
S
securities
cannot
be
sold
in
the
United
States
without
either
an
effective
registration
statement
filed
pursuant
to
the
Securities
Act
of
1933,
or
pursuant
to
an
exemption
from
registration.
At
September
30,
2021,
the
aggregate
value
of
these
securities
was
$68,185,760,
representing
9.1%
of
net
assets.
c
A
supranational
organization
is
an
entity
formed
by
two
or
more
central
governments
through
international
treaties.
d
The
security
was
issued
on
a
discount
basis
with
no
stated
coupon
rate.
e
A
portion
or
all
of
the
security
purchased
on
a
delayed
delivery
basis.
f
See
Note
6
regarding
investments
in
affiliated
management
investment
companies.
g
The
rate
shown
is
the
annualized
seven-day
effective
yield
at
period
end.
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
10
At
September
30,
2021,
the
Fund
had
the
following
forward
exchange
contracts
outstanding.
See
Note
3. 
Forward
Exchange
Contracts
Currency
Counter-
party
a
Type
Quantity
Contract
Amount
*
Settlement
Date
Unrealized
Appreciation
Unrealized
Depreciation
a
a
a
a
a
a
a
a
OTC
Forward
Exchange
Contracts
Mexican
Peso
......
CITI
Buy
151,635,500
7,362,734
10/01/21
$
$
(18,027)
Mexican
Peso
......
CITI
Sell
151,635,500
7,564,377
10/01/21
219,671
Chilean
Peso
......
GSCO
Buy
1,220,596,866
1,583,463
10/04/21
(79,524)
Chilean
Peso
......
GSCO
Sell
1,220,596,866
1,523,176
10/04/21
19,237
Chilean
Peso
......
JPHQ
Buy
2,054,490,000
2,785,787
10/04/21
(254,380)
Chilean
Peso
......
JPHQ
Sell
2,054,490,000
2,603,586
10/04/21
72,179
Euro
.............
DBAB
Sell
8,814,402
90,410,200
SEK
10/06/21
120,239
Swedish
Krona
.....
DBAB
Sell
90,410,200
8,886,314
EUR
10/06/21
(36,940)
Indian
Rupee
......
JPHQ
Buy
264,184,500
3,606,319
10/07/21
(46,197)
Indian
Rupee
......
CITI
Buy
256,676,200
3,503,753
10/08/21
(45,381)
Indian
Rupee
......
JPHQ
Buy
106,826,200
1,458,179
10/08/21
(18,837)
Indian
Rupee
......
CITI
Buy
230,576,200
3,146,295
10/12/21
(41,629)
Indian
Rupee
......
HSBK
Buy
96,812,500
1,288,634
10/12/21
14,928
Mexican
Peso
......
CITI
Buy
45,512,000
2,264,222
10/12/21
(62,469)
Mexican
Peso
......
CITI
Sell
45,512,000
2,254,152
10/12/21
52,398
Chilean
Peso
......
JPHQ
Buy
4,585,200,000
5,925,945
10/13/21
(280,239)
Euro
.............
DBAB
Sell
1,653,696
16,857,450
SEK
10/13/21
10,418
Euro
.............
HSBK
Sell
252,375
300,048
10/13/21
7,668
Chilean
Peso
......
GSCO
Buy
1,357,150,000
1,821,556
10/14/21
(150,639)
Euro
.............
DBAB
Sell
1,245,994
12,643,100
SEK
10/18/21
1,089
Euro
.............
DBAB
Sell
1,245,613
12,643,100
SEK
10/19/21
1,511
Euro
.............
JPHQ
Sell
6,370,447
64,197,700
NOK
10/19/21
(37,687)
Norwegian
Krone
...
JPHQ
Sell
64,197,700
6,378,850
EUR
10/19/21
47,424
Singapore
Dollar
....
MSCO
Buy
2,010,000
1,505,793
10/21/21
(25,561)
Euro
.............
HSBK
Sell
7,080,070
893,186,201
JPY
10/25/21
(177,885)
Singapore
Dollar
....
CITI
Buy
1,600,000
1,204,366
10/26/21
(26,083)
Euro
.............
JPHQ
Sell
33,330
39,499
10/27/21
874
Chilean
Peso
......
JPHQ
Buy
4,430,680,000
5,607,625
10/29/21
(158,832)
Mexican
Peso
......
CITI
Sell
151,635,500
7,532,063
11/01/21
218,756
Euro
.............
HSBK
Sell
12,307,723
18,320,445
CAD
11/03/21
195,829
Euro
.............
JPHQ
Sell
702,861
1,043,246
CAD
11/03/21
8,827
Chilean
Peso
......
GSCO
Buy
1,952,776,866
2,523,218
11/04/21
(122,831)
Chilean
Peso
......
GSCO
Buy
1,761,394,822
2,266,801
11/05/21
(101,842)
Indian
Rupee
......
CITI
Buy
192,009,900
2,520,807
11/10/21
53,341
Australian
Dollar
....
CITI
Sell
7,142,000
5,264,761
11/15/21
102,673
Australian
Dollar
....
MSCO
Sell
5,158,000
3,787,468
11/16/21
59,359
Australian
Dollar
....
HSBK
Sell
7,134,989
5,519,271
11/17/21
362,210
Euro
.............
DBAB
Sell
19,217,155
195,678,681
SEK
11/17/21
85,951
Euro
.............
HSBK
Sell
5,480,000
6,646,034
11/17/21
292,787
Euro
.............
JPHQ
Sell
14,358,818
145,630,000
SEK
11/17/21
(1,917)
Swedish
Krona
.....
DBAB
Sell
29,390,000
2,887,257
EUR
11/17/21
(11,828)
Australian
Dollar
....
JPHQ
Sell
7,190,000
5,553,793
11/18/21
356,951
Euro
.............
CITI
Sell
5,480,000
6,641,130
11/18/21
287,755
Euro
.............
JPHQ
Sell
17,151,764
25,310,000
CAD
11/22/21
90,294
Euro
.............
JPHQ
Sell
2,107,379
2,580,317
11/24/21
136,779
Chilean
Peso
......
GSCO
Buy
3,128,440,047
3,977,623
11/30/21
(140,269)
Mexican
Peso
......
CITI
Sell
151,635,500
7,297,185
12/01/21
17,379
Chinese
Yuan
......
CITI
Buy
135,663,370
20,852,681
12/10/21
72,929
Chinese
Yuan
......
BOFA
Buy
105,222,910
16,167,992
12/13/21
58,281
Euro
.............
DBAB
Sell
3,343,435
33,714,869
SEK
12/13/21
(23,817)
Chilean
Peso
......
GSCO
Buy
4,229,800,151
5,415,184
12/15/21
(233,882)
Chinese
Yuan
......
HSBK
Buy
16,868,120
2,606,766
12/15/21
(5,985)
Euro
.............
DBAB
Sell
2,482,239
25,292,300
SEK
12/15/21
12,193
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
See
Notes
to
Statement
of
Investments.
Quarterly
Statement
of
Investments
11
Forward
Exchange
Contracts
(continued)
Currency
Counter-
party
a
Type
Quantity
Contract
Amount*
Settlement
Date
Unrealized
Appreciation
Unrealized
Depreciation
a
a
a
a
a
a
a
a
OTC
Forward
Exchange
Contracts
(continued)
Indian
Rupee
......
HSBK
Buy
97,083,330
1,316,027
12/15/21
$
$
(19,297)
Mexican
Peso
......
MSCO
Sell
52,702,500
2,588,188
12/15/21
62,686
Euro
.............
DBAB
Sell
8,443,090
85,425,497
SEK
12/16/21
(27,633)
Euro
.............
JPHQ
Sell
1,076,576
10,890,000
SEK
12/17/21
(3,828)
Indian
Rupee
......
JPHQ
Buy
1,604,400,000
21,373,761
12/20/21
44,329
New
Zealand
Dollar
.
JPHQ
Buy
12,160,000
8,674,470
12/20/21
(287,566)
New
Zealand
Dollar
.
BOFA
Buy
3,690,000
2,604,955
12/21/21
(59,944)
New
Zealand
Dollar
.
CITI
Buy
4,340,000
3,075,541
12/21/21
(82,221)
New
Zealand
Dollar
.
JPHQ
Buy
4,340,000
3,068,341
12/21/21
(75,021)
Chilean
Peso
......
GSCO
Buy
2,473,070,000
3,342,443
12/23/21
(315,277)
Chilean
Peso
......
GSCO
Buy
615,040,000
772,741
12/28/21
(20,246)
Euro
.............
SCNY
Sell
1,325,806
1,580,830
1/07/22
41,678
Chinese
Yuan
......
CITI
Buy
44,380,340
6,761,173
1/12/22
66,095
Chilean
Peso
......
JPHQ
Buy
3,782,900,000
4,764,358
1/13/22
(142,607)
Chilean
Peso
......
GSCO
Buy
1,220,596,866
1,510,640
1/14/22
(19,508)
Euro
.............
DBAB
Sell
1,035,848
10,535,921
SEK
1/18/22
2,538
Euro
.............
JPHQ
Sell
10,967,977
111,598,400
NOK
1/21/22
16,581
Norwegian
Krone
...
JPHQ
Sell
82,400,000
8,162,457
EUR
1/21/22
62,217
Euro
.............
UBSW
Sell
513,907
607,232
1/24/22
10,422
Singapore
Dollar
....
MSCO
Buy
1,590,000
1,170,426
1/24/22
264
Indian
Rupee
......
JPHQ
Buy
263,438,700
3,412,860
1/27/22
87,325
Euro
.............
HSBK
Sell
4,550,000
5,389,252
1/31/22
104,497
Euro
.............
CITI
Sell
7,220,457
10,739,310
CAD
2/03/22
90,310
Euro
.............
HSBK
Sell
4,942,339
7,326,573
CAD
2/03/22
42,564
Euro
.............
JPHQ
Sell
701,417
1,043,246
CAD
2/03/22
8,770
Euro
.............
CITI
Sell
10,419,412
1,350,022,368
JPY
2/07/22
42,630
Chilean
Peso
......
GSCO
Buy
2,394,434,956
3,032,466
2/11/22
(114,509)
Euro
.............
CITI
Sell
2,300,000
2,710,762
2/16/22
38,478
Euro
.............
JPHQ
Sell
2,101,396
21,921,200
NOK
2/16/22
62,500
Indian
Rupee
......
SCNY
Buy
1,470,000,000
19,352,367
2/18/22
121,725
South
Korean
Won
..
CITI
Buy
51,670,000,000
44,879,701
2/18/22
(1,328,350)
South
Korean
Won
..
CITI
Sell
17,618,000,000
15,304,031
2/18/22
454,259
Chinese
Yuan
......
JPHQ
Buy
150,960,000
22,968,429
2/22/22
180,481
Euro
.............
CITI
Sell
3,539,153
454,855,431
JPY
2/24/22
(19,700)
Euro
.............
MSCO
Sell
1,215,000
1,433,657
2/28/22
21,650
Chinese
Yuan
......
BOFA
Buy
87,762,900
13,418,993
3/09/22
23,222
Japanese
Yen
......
HSBK
Buy
244,569,190
2,231,735
3/09/22
(30,763)
Euro
.............
DBAB
Sell
2,609,308
26,731,500
NOK
3/15/22
18,852
Euro
.............
DBAB
Sell
1,035,122
10,535,883
SEK
3/16/22
2,445
Euro
.............
JPHQ
Sell
6,267,654
64,197,700
NOK
3/16/22
43,606
Russian
Ruble
.....
MSCO
Buy
146,000,000
1,923,330
3/21/22
22,114
Euro
.............
CITI
Sell
11,903,968
1,554,289,253
JPY
3/31/22
147,350
Euro
.............
HSBK
Sell
4,932,433
7,326,636
CAD
5/03/22
41,734
Euro
.............
JPHQ
Sell
700,204
1,043,550
CAD
5/03/22
8,660
Chilean
Peso
......
GSCO
Buy
2,292,067,510
2,889,719
5/11/22
(118,869)
Euro
.............
JPHQ
Sell
21,977,541
230,351,000
NOK
5/19/22
681,417
Euro
.............
DBAB
Sell
2,498,422
25,262,800
SEK
6/15/22
(17,136)
Euro
.............
DBAB
Sell
2,619,465
26,672,700
NOK
6/15/22
(11,633)
Euro
.............
DBAB
Sell
4,004,606
40,777,700
NOK
6/16/22
(17,899)
Euro
.............
DBAB
Sell
3,490,223
35,735,000
NOK
6/20/22
5,912
Euro
.............
CITI
Sell
3,111,992
32,042,000
NOK
6/21/22
25,570
Total
Forward
Exchange
Contracts
...................................................
$5,562,811
$(4,814,688)
Net
unrealized
appreciation
(depreciation)
............................................
$748,123
Templeton
Global
Income
Fund
Statement
of
Investments
(unaudited)
Quarterly
Statement
of
Investments
See
Notes
to
Statement
of
Investments.
12
See
A
bbreviations
on
page
18
.
*
In
U.S.
dollars
unless
otherwise
indicated.
a
May
be
comprised
of
multiple
contracts
with
the
same
counterparty,
currency
and
settlement
date.
Templeton
Global
Income
Fund
13
Quarterly
Statement
of
Investments
Notes
to
Statement
of
Investments
(unaudited)
1.
Organization
Templeton
Global
Income
Fund (Fund)
is
registered
under
the
Investment
Company
Act
of
1940
(1940
Act)
as
a
closed-end
management
investment
company
and
applies
the
specialized
accounting
and
reporting
guidance
in
U.S.
Generally
Accepted
Accounting
Principles
(U.S.
GAAP). 
2. Financial
Instrument
Valuation
The
Fund's investments
in
financial
instruments
are
carried
at
fair
value
daily.
Fair
value
is
the
price
that
would
be
received
to
sell
an
asset
or
paid
to
transfer
a
liability
in
an
orderly
transaction
between
market
participants
on
the
measurement
date.
The
Fund
calculates the
net
asset
value
(NAV)
per
share
each
business
day
as
of
4
p.m.
Eastern
time
or
the
regularly
scheduled
close
of
the
New
York
Stock
Exchange
(NYSE),
whichever
is
earlier.
Under
compliance
policies
and
procedures
approved
by
the
Fund’s
Board
of
Trustees
(the
Board),
the
Fund’s
administrator
has
responsibility
for
oversight
of
valuation,
including
leading
the
cross-functional
Valuation
Committee
(VC).
The
Fund
may
utilize
independent
pricing
services,
quotations
from
securities
and
financial
instrument
dealers,
and
other
market
sources
to
determine
fair
value. 
Debt
securities
generally
trade
in
the
over-the-counter
(OTC)
market
rather
than
on
a
securities
exchange.
The Fund's
pricing
services
use
multiple
valuation
techniques
to
determine
fair
value.
In
instances
where
sufficient
market
activity
exists,
the
pricing
services
may
utilize
a
market-based
approach
through
which
quotes
from
market
makers
are
used
to
determine
fair
value.
In
instances
where
sufficient
market
activity
may
not
exist
or
is
limited,
the
pricing
services
also
utilize
proprietary
valuation
models
which
may
consider
market
characteristics
such
as
benchmark
yield
curves,
credit
spreads,
estimated
default
rates,
anticipated
market
interest
rate
volatility,
coupon
rates,
anticipated
timing
of
principal
repayments,
underlying
collateral,
and
other
unique
security
features
in
order
to
estimate
the
relevant
cash
flows,
which
are
then
discounted
to
calculate
the
fair
value.
Securities
denominated
in
a
foreign
currency
are
converted
into
their
U.S.
dollar
equivalent
at
the
foreign
exchange
rate
in
effect
at
4
p.m.
Eastern
time
on
the
date
that
the
values
of
the
foreign
debt
securities
are
determined. 
Investments
in
open-end
mutual
funds
are
valued
at
the
closing
NAV.
Certain
derivative
financial
instruments
are
centrally
cleared
or
trade
in
the
OTC
market.
The Fund’s
pricing
services
use
various
techniques
including
industry
standard
option
pricing
models
and
proprietary
discounted
cash
flow
models
to
determine
the
fair
value
of
those
instruments.
The Fund’s
net
benefit
or
obligation
under
the
derivative
contract,
as
measured
by
the
fair
value
of
the
contract,
is
included
in
net
assets. 
The
Fund
has procedures
to
determine
the
fair
value
of
financial
instruments
for
which
market
prices
are
not
reliable
or
readily
available.
Under
these
procedures,
the
Fund
primarily employs
a
market-based
approach
which
may
use
related
or
comparable
assets
or
liabilities,
recent
transactions,
market
multiples,
book
values,
and
other
relevant
information
for
the
investment
to
determine
the
fair
value
of
the
investment.
An
income-based
valuation
approach
may
also
be
used
in
which
the
anticipated
future
cash
flows
of
the
investment
are
discounted
to
calculate
fair
value.
Discounts
may
also
be
applied
due
to
the
nature
or
duration
of
any
restrictions
on
the
disposition
of
the
investments.
Due
to
the
inherent
uncertainty
of
valuations
of
such
investments,
the
fair
values
may
differ
significantly
from
the
values
that
would
have
been
used
had
an
active
market
existed. 
3.
Derivative
Financial
Instruments
The
Fund
invested
in
derivative
financial
instruments
in
order
to
manage
risk
or
gain
exposure
to
various
other
investments
or
markets.
Derivatives
are
financial
contracts
based
on
an
underlying
or
notional
amount,
require
no
initial
investment
or
an
initial
net
investment
that
is
smaller
than
would
normally
be
required
to
have
a
similar
response
to
changes
in
market
factors,
and
require
or
permit
net
settlement.
Derivatives
contain
various
risks
including
the
potential
inability
of
the
counterparty
to
fulfill
their
obligations
under
the
terms
of
the
contract,
the
potential
for
an
illiquid
secondary
market,
and/or
the
potential
for
market
movements.
Templeton
Global
Income
Fund
Notes
to
Statement
of
Investments
(unaudited)
14
Quarterly
Statement
of
Investments
Derivative
counterparty
credit
risk
is
managed
through
a
formal
evaluation
of
the
creditworthiness
of
all
potential
counterparties. The
Fund
attempts
to
reduce
its
exposure
to
counterparty
credit
risk
on
OTC
derivatives,
whenever
possible,
by
entering
into
International
Swaps
and
Derivatives
Association
(ISDA)
master
agreements
with
certain
counterparties.
These
agreements
contain
various
provisions,
including
but
not
limited
to
collateral
requirements,
events
of
default,
or
early
termination.
Termination
events
applicable
to
the
counterparty
include
certain
deteriorations
in
the
credit
quality
of
the
counterparty.
Termination
events
applicable
to
the
Fund
include
failure
of
the
Fund
to
maintain
certain
net
asset
levels
and/
or
limit
the
decline
in
net
assets
over
various
periods
of
time.
In
the
event
of
default
or
early
termination,
the
ISDA
master
agreement
gives
the
non-defaulting
party
the
right
to
net
and
close-out
all
transactions
traded,
whether
or
not
arising
under
the
ISDA
agreement,
to
one
net
amount
payable
by
one
counterparty
to
the
other.
Early
termination
by
the
counterparty
may
result
in
an
immediate
payment
by
the
Fund
of
any
net
liability
owed
to
that
counterparty
under
the
ISDA
agreement. 
Collateral
requirements
differ
by
type
of
derivative.
Collateral
terms
are
contract
specific
for
OTC
derivatives.
For
OTC
derivatives
traded
under
an
ISDA
master
agreement,
posting
of
collateral
is
required
by
either
the
Fund
or
the
applicable
counterparty
if
the
total
net
exposure
of
all
OTC
derivatives
with
the
applicable
counterparty
exceeds
the
minimum
transfer
amount,
which
typically
ranges
from
$100,000
to
$250,000,
and
can
vary
depending
on
the
counterparty
and
the
type
of
the
agreement.
Generally,
collateral
is
determined
at
the
close
of
Fund
business
each
day
and
any
additional
collateral
required
due
to
changes
in
derivative
values
may
be
delivered
by
the
Fund
or
the
counterparty
the
next
business
day,
or
within
a
few
business
days.
Collateral
pledged
and/or
received
by
the
Fund,
if
any,
is
held
in
segregated
accounts
with
the
Fund’s
custodian/counterparty
broker
and
can
be
in
the
form
of
cash
and/or
securities.
Unrestricted
cash
may
be
invested
according
to
the
Fund’s
investment
objectives.
To
the
extent
that
the
amounts
due
to
the
Fund
from
its
counterparties
are
not
subject
to
collateralization
or
are
not
fully
collateralized,
the
Fund
bears
the
risk
of
loss
from
counterparty
non-performance.
At
September
30,
2021, the
Fund
received
$199,581
in
United
Kingdom
Inflation-Linked
Gilt
and
U.S.
Treasury
Bonds
and
Notes
as
collateral
for
derivatives.
The
Fund entered
into
OTC
forward
exchange
contracts
primarily
to
manage
and/or
gain
exposure
to
certain
foreign
currencies.
A
forward
exchange
contract
is
an
agreement
between
the
Fund
and
a
counterparty
to
buy
or
sell
a
foreign
currency at
a
specific
exchange
rate
on
a
future
date. 
The
Fund
purchased
or
wrote
OTC
option
contracts
primarily
to
manage
and/or
gain
exposure
to
foreign
exchange
rate
risk.
An
option
is
a
contract
entitling
the
holder
to
purchase
or
sell
a
specific
amount
of
shares
or
units
of
an
asset
or
notional
amount
of
a
swap
(swaption),
at
a
specified
price.
When
an
option
is
purchased
or
written,
an
amount
equal
to
the
premium
paid
or
received
is
recorded
as
an
asset
or
liability,
respectively.
Upon
exercise
of
an
option,
the
acquisition
cost
or
sales
proceeds
of
the
underlying
investment
is
adjusted
by
any
premium
received
or
paid.
Upon
expiration
of
an
option,
any
premium
received
or
paid
is
recorded
as
a
realized
gain
or
loss.
Upon
closing
an
option
other
than
through
expiration
or
exercise,
the
difference
between
the
premium
received
or
paid
and
the
cost
to
close
the
position
is
recorded
as
a
realized
gain
or
loss. 
4.
Concentration
of
Risk 
Investments
in
issuers
domiciled
or
with
significant
operations
in
developing
or
emerging
market
countries
may
be
subject
to
higher
risks
than
investments
in
developed
countries.
These
risks
include
fluctuating
currency
values,
underdeveloped
legal
or
business
systems,
and
changing
local
and
regional
economic,
political
and
social
conditions,
which
may
result
in
greater
market
volatility.
In
addition,
certain
foreign
securities
may
not
be
as
liquid
as
U.S.
securities.
Currencies
of
developing
or
emerging
market
countries
may
be
subject
to
significantly
greater
risks
than
currencies
of
developed
countries,
including
the
potential
inability
to
repatriate
those
currencies
into
U.S.
dollars.
3.
Derivative
Financial
Instruments
(continued)
Templeton
Global
Income
Fund
Notes
to
Statement
of
Investments
(unaudited)
15
Quarterly
Statement
of
Investments
At
September
30,
2021,
the
Fund
had
1.2%
of
its
net
assets
denominated
in
Argentine
Pesos.
Argentina
has
restricted
currency
repatriation
since
September
2019,
and
had
restructured
certain
issues
of
its
debt.
Political
and
economic
conditions
in
Argentina
could
continue
to
affect
the
value
of
the
Fund's
holdings.
5.
Novel
Coronavirus
Pandemic 
The
global
outbreak
of
the
novel
coronavirus
disease,
known
as
COVID-19, has
caused
adverse
effects
on
many
companies,
sectors,
nations,
regions
and
the
markets
in
general, and
may
continue for
an unpredictable duration.
The
effects
of
this
pandemic
may
materially
impact
the
value
and
performance
of
the Fund, its ability
to
buy
and
sell
fund
investments
at
appropriate
valuations
and its ability
to
achieve its investment
objectives.
6.
Investments
in
Affiliated
Management
Investment
Companies 
The
Fund
invests
in
one
or
more
affiliated
management
investment
companies.
As
defined
in
the
1940
Act,
an
investment
is
deemed
to
be
a
“Controlled
Affiliate”
of
a
fund
when
a
fund
owns,
either
directly
or
indirectly,
25%
or
more
of
the
affiliated
fund’s
outstanding
shares
or
has
the
power
to
exercise
control
over
management
or
policies
of
such
fund.
The
Fund
does
not
invest  for
purposes
of
exercising
a
controlling
influence
over
the
management
or
policies.
During
the
period
ended
September
30,
2021,
the
Fund
held
investments
in
affiliated
management
investment
companies
as
follows: 
7. Fair
Value
Measurements 
The
Fund
follows
a
fair
value
hierarchy
that
distinguishes
between
market
data
obtained
from
independent
sources
(observable
inputs)
and
the
Fund's
own
market
assumptions
(unobservable
inputs).
These
inputs
are
used
in
determining
the
value
of
the
Fund's
financial
instruments
and
are
summarized
in
the
following
fair
value
hierarchy:
Level
1
quoted
prices
in
active
markets
for
identical
financial
instruments
Level 2
other
significant
observable
inputs
(including
quoted
prices
for
similar
financial
instruments,
interest
rates,
prepayment
speed,
credit
risk,
etc.)
Level 3
significant
unobservable
inputs
(including
the
Fund's own
assumptions
in
determining
the
fair
value
of
financial
instruments)
The
input
levels
are
not
necessarily
an
indication
of
the
risk
or
liquidity
associated
with
financial
instruments
at
that
level.
A
summary
of
inputs
used
as
of
September
30,
2021,
in
valuing
the
Fund's
assets
and
liabilities
carried
at
fair
value,
is
as
follows:
    aa
Value
at
Beginning
of
Period
Purchases
Sales
Realized
Gain
(Loss)
Net
Change
in
Unrealized
Appreciation
(Depreciation)
Value
at
End
of
Period
Number
of
Shares
Held
at
End
of
Period
Investment
Income
a      
a  
a  
a  
a  
a  
a  
a  
Templeton
Global
Income
Fund
Non-Controlled
Affiliates
Dividends
Institutional
Fiduciary
Trust
-
Money
Market
Portfolio,
0.01%
.
$62,199,567
$432,069,553
$(454,006,706)
$—
$—
$40,262,414
40,262,414
$2,417
Total
Affiliated
Securities
...
$62,199,567
$432,069,553
$(454,006,706)
$—
$—
$40,262,414
$2,417
4.
Concentration
of
Risk 
(continued)
Templeton
Global
Income
Fund
Notes
to
Statement
of
Investments
(unaudited)
16
Quarterly
Statement
of
Investments
A
reconciliation
of
assets
in
which
Level
3
inputs
are
used
in
determining
fair
value
is
presented
when
there
are
significant
Level
3
financial
instruments
at
the
beginning
and/or
end
of
the
period.
The
reconciliation
of
assets
and
liabilities
for
the
nine
months
ended
September
30,
2021,
is
as
follows:
Level
1
Level
2
Level
3
Total
Templeton
Global
Income
Fund
Assets:
Investments
in
Securities:
Foreign
Government
and
Agency
Securities
....
$
$
548,259,407
$
$
548,259,407
Options
purchased
.......................
3,839,979
3,839,979
Short
Term
Investments
...................
40,262,414
114,091,015
154,353,429
Total
Investments
in
Securities
...........
$40,262,414
$666,190,401
$—
$706,452,815
Other
Financial
Instruments:
Forward
exchange
contracts
...............
$
$
5,562,811
$
$
5,562,811
Restricted
Currency
(ARS)
.................
150,780
150,780
Total
Other
Financial
Instruments
.........
$—
$5,713,591
$—
$5,713,591
Receivables:
Investment
Securities
Sold
(ARS)
............
$—
$3,572,524
$—
$3,572,524
Interest
(ARS)
...........................
$—
$189,279
$—
$189,279
Liabilities:
Other
Financial
Instruments:
Options
written
..........................
$
$
2,261,705
$
$
2,261,705
Forward
exchange
contracts
................
$
$
4,814,688
$
$
4,814,688
Total
Other
Financial
Instruments
.........
$—
$7,076,393
$—
$7,076,393
Payables:
Investment
Securities
Purchased
(ARS)
.......
$—
$52
$—
$52
Deferred
Tax
(ARS)
.......................
$—
$577
$—
$577
Balance
at
Beginning
of
Period
Purchases
a
Sales
b
Transfer
Into
Level
3
Transfer
Out
of
Level
3
c
Net
Accretion
(
Amortiza
-
tion
)
Net
Realized
Gain
(Loss)
Net
Unr
ealized
Appreciation
(Depreciation)
Balance
at
End
of
Period
Net
Change
in
Unrealized
Appreciation
(Depreciation)
on
Assets
Held
at
Period
End
a
a
a
a
a
a
a
a
a
a
a
Templeton
Global
Income
Fund
Assets:
Investments
in
Securities:
Foreign
Government
and
Agency
Securities
:
Argentina
....
$
13,615,735
$
$
$
$
(13,615,735)
$
$
$
$
$
Short
Term
Investments
..
868,631
(868,631)
Total
Investments
in
Securities
.......
$14,484,366
$—
$—
$—
$(14,484,366)
$—
$—
$—
$—
$—
7. Fair
Value
Measurements 
(continued)
Templeton
Global
Income
Fund
Notes
to
Statement
of
Investments
(unaudited)
17
Quarterly
Statement
of
Investments
Balance
at
Beginning
of
Period
Purchases
a
Sales
b
Transfer
Into
Level
3
Transfer
Out
of
Level
3
c
Net
Accretion
(Amortiza-
tion)
Net
Realized
Gain
(Loss)
Net
Unrealized
Appreciation
(Depreciation)
Balance
at
End
of
Period
Net
Change
in
Unrealized
Appreciation
(Depreciation)
on
Assets
Held
at
Period
End
a
a
a
a
a
a
a
a
a
a
a
Templeton
Global
Income
Fund
(continued)
Assets:
(continued)
Other
Financial
Instruments:
Restricted
Currency
(ARS)
......
$2,838
$—
$—
$—
$(2,838)
$—
$—
$—
$—
$—
Receivables:
Interest
(ARS)
.
$304,677
$—
$—
$—
$(304,677)
$—
$—
$—
$—
$—
Liabilities:
Payables:
Investment
Securities
Purchased
(ARS)
$129,991
$—
$—
$—
$(129,991)
$—
$—
$—
$—
$—
Deferred
Tax
(ARS)
$779
$—
$—
$—
$(779)
$—
$—
$—
$—
$—
a
Purchases
include
all
purchases
of
securities
and
securities
received
in
corporate
actions.
b
Sales
include
all
sales
of
securities,
maturities,
paydowns
and
securities
tendered
in
corporate
actions.
c
Transfers
out
of
level
3
were
as
a
result
of
changes
in
the
levels
of
observable
liquidity
and
the
improved
reliability
of
a
significant
input.
7. Fair
Value
Measurements 
(continued)
Templeton
Global
Income
Fund
Notes
to
Statement
of
Investments
(unaudited)
18
Quarterly
Statement
of
Investments
8.
Subsequent
Events
The Fund
has
evaluated
subsequent
events
through
the
issuance
of
the
Statement
of
Investments
and
determined
that
no
events
have
occurred
that
require
disclosure. 
Abbreviations
Counterparty
BOFA
Bank
of
America
Corp.
CITI
Citibank
NA
DBAB
Deutsche
Bank
AG
GSCO
Goldman
Sachs
Group,
Inc.
HSBK
HSBC
Bank
plc
JPHQ
JPMorgan
Chase
Bank
NA
MSCO
Morgan
Stanley
SCNY
Standard
Chartered
Bank
UBSW
UBS
AG
Currency
ARS
Argentine
Peso
AUD
Australian
Dollar
BRL
Brazilian
Real
CAD
Canadian
Dollar
CNY
Chinese
Yuan
COP
Colombian
Peso
EGP
Egyptian
Pound
EUR
Euro
GHS
Ghanaian
Cedi
IDR
Indonesian
Rupiah
INR
Indian
Rupee
JPY
Japanese
Yen
KRW
South
Korean
Won
MXN
Mexican
Peso
NOK
Norwegian
Krone
RUB
Russian
Ruble
SEK
Swedish
Krona
SGD
Singapore
Dollar
TRY
Turkish
Lira
USD
United
States
Dollar
For
additional
information
on
the
Fund's
significant
accounting
policies,
please
refer
to
the Fund's
most
recent
semiannual
or
annual
shareholder
report.