FRANKLIN TEMPLETON > Legg Mason Partners Investment Trust

Franklin S&P 500 Index Fund

Index Fund
Series ID: S000004163
LEI: 549300VJOFDZXKCXUT39
SEC CIK: 880366
$337.07M Avg Monthly Net Assets
$526.66M Total Assets
$314K Total Liabilities
$526.35M Net Assets
Franklin S&P 500 Index Fund is an Index Fund in Legg Mason Partners Investment Trust from FRANKLIN TEMPLETON, based in New York, United States of America. The fund has two share classes and monthly net assets of $337.07M. On August 26th, 2024 it reported 505 holdings, the largest being MICROSOFT CORP (7.2%), NVIDIA CORP (6.6%) and APPLE INC (6.5%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Ticker Monthly Returns (2 years)
Class A C000011728 SBSPX Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 249.19% (Max)-9.25% (Min)
Class D C000011729 SBSDX Jun 22Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 249.19% (Max)-9.22% (Min)

Holdings

From latest NPORT-P, filed August 26th, 2024 for period ending June 28th, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
3M CO Long Equity-common US $642K 6K 0.12
A O Smith Corp Long Equity-common US $108K 1K 0.02
ABBOTT LABORATORIES Long Equity-common US $2M 20K 0.39
ABBVIE INC Long Equity-common US $3M 20K 0.65
Accenture PLC Long Equity-common IE $2M 7K 0.41
ADOBE SYSTEMS INC Long Equity-common US $3M 5K 0.54
Advanced Micro Devices Inc Long Equity-common US $3M 18K 0.57
AES CORP Long Equity-common US $142K 8K 0.03
AFLAC INC Long Equity-common US $524K 6K 0.10
Agilent Technologies Inc Long Equity-common US $429K 3K 0.08
Air Products and Chemicals Inc Long Equity-common US $651K 3K 0.12
Airbnb Inc Long Equity-common US $760K 5K 0.14
AKAMAI TECHNOLOGIES INC Long Equity-common US $156K 2K 0.03
ALBEMARLE CORP Long Equity-common US $131K 1K 0.02
Alexandria Real Estate Equities Inc Long Equity-common US $209K 2K 0.04
ALIGN TECHNOLOGY INC Long Equity-common US $187K 776 0.04
Allegion plc Long Equity-common IE $115K 972 0.02
ALLIANT ENERGY CORP Long Equity-common US $153K 3K 0.03
ALLSTATE CORP Long Equity-common US $473K 3K 0.09
ALPHABET INC (ALPHABET INC-CL A) Long Equity-common US $12M 67K 2.31
ALPHABET INC (ALPHABET INC-CL C) Long Equity-common US $10M 55K 1.93
Altria Group Inc Long Equity-common US $888K 19K 0.17
AMAZON.COM INC Long Equity-common US $20M 104K 3.82
Amcor PLC Long Equity-common GB $160K 16K 0.03
AMEREN CORP (AMEREN CORPORATION) Long Equity-common US $216K 3K 0.04
American Airlines Group Inc Long Equity-common US $82K 7K 0.02
AMERICAN ELECTRIC POWER CO INC Long Equity-common US $521K 6K 0.10
AMERICAN EXPRESS CO Long Equity-common US $1M 6K 0.28
American International Group Inc Long Equity-common US $559K 8K 0.11
AMERICAN TOWER CORP Long Equity-common US $1M 5K 0.20
AMERICAN WATER WORKS CO INC Long Equity-common US $288K 2K 0.05
AMERIPRISE FINANCIAL INC Long Equity-common US $482K 1K 0.09
AMERISOURCEBERGEN CORP Long Equity-common US $421K 2K 0.08
AMETEK INC Long Equity-common US $438K 3K 0.08
AMGEN INC Long Equity-common US $2M 6K 0.36
AMPHENOL CORP (AMPHENOL CORP-CL A) Long Equity-common US $919K 14K 0.17
ANALOG DEVICES INC Long Equity-common US $1M 6K 0.24
ANSYS Inc Long Equity-common US $319K 991 0.06
Aon PLC Long Equity-common US $725K 2K 0.14
APA Corp Long Equity-common US $115K 4K 0.02
APPLE INC Long Equity-common US $34M 164K 6.55
Applied Materials Inc Long Equity-common US $2M 9K 0.42
Aptiv PLC Long Equity-common IE $217K 3K 0.04
Arch Capital Group Ltd Long Equity-common BM $428K 4K 0.08
Archer-Daniels-Midland Co Long Equity-common US $339K 6K 0.06
Arista Networks Inc Long Equity-common US $1M 3K 0.19
Arthur J Gallagher & Co Long Equity-common US $643K 2K 0.12
Assurant Inc Long Equity-common US $93K 560 0.02
AT&T INC Long Equity-common US $2M 81K 0.30
Atmos Energy Corp Long Equity-common US $202K 2K 0.04
AUTODESK INC Long Equity-common US $601K 2K 0.11
Automatic Data Processing Inc Long Equity-common US $1M 5K 0.21
AUTOZONE INC Long Equity-common US $581K 196 0.11
AvalonBay Communities Inc Long Equity-common US $338K 2K 0.06
Avery Dennison Corp Long Equity-common US $200K 914 0.04
Axon Enterprise Inc Long Equity-common US $237K 804 0.04
Baker Hughes Co Long Equity-common US $403K 11K 0.08
Ball Corp Long Equity-common US $211K 4K 0.04
BANK OF AMERICA CORP Long Equity-common US $3M 77K 0.58
BANK OF NEW YORK MELLON CORP/THE Long Equity-common US $505K 8K 0.10
Bath & Body Works Inc Long Equity-common US $95K 2K 0.02
Baxter International Inc Long Equity-common US $194K 6K 0.04
Becton Dickinson & Co Long Equity-common US $767K 3K 0.15
BERKSHIRE HATHAWAY INC Long Equity-common US $8M 21K 1.59
BEST BUY CO INC Long Equity-common US $184K 2K 0.04
Bio-Rad Laboratories Inc Long Equity-common US $61K 222 0.01
Bio-Techne Corp Long Equity-common US $125K 2K 0.02
BIOGEN INC Long Equity-common US $385K 2K 0.07
BLACKROCK INC Long Equity-common US $1M 2K 0.24
Blackstone Inc Long Equity-common US $1M 8K 0.19
BOEING CO Long Equity-common US $1M 7K 0.23
BOOKING HOLDINGS INC Long Equity-common US $2M 385 0.29
BORGWARNER INC Long Equity-common US $80K 2K 0.02
Boston Properties Inc Long Equity-common US $98K 2K 0.02
BOSTON SCIENTIFIC CORP Long Equity-common US $1M 17K 0.24
BRISTOL-MYERS SQUIBB CO Long Equity-common US $958K 23K 0.18
BROADCOM INC Long Equity-common US $8M 5K 1.51
Broadridge Financial Solutions Inc Long Equity-common US $264K 1K 0.05
Brown & Brown Inc Long Equity-common US $240K 3K 0.05
Brown-Forman Corp Long Equity-common US $87K 2K 0.02
Builders FirstSource Inc Long Equity-common US $192K 1K 0.04
Bunge Global SA Long Equity-common US $170K 2K 0.03
Cadence Design Systems Inc Long Equity-common US $951K 3K 0.18
Caesars Entertainment Inc Long Equity-common US $98K 2K 0.02
Camden Property Trust Long Equity-common US $132K 1K 0.03
Campbell Soup Co Long Equity-common US $96K 2K 0.02
CAPITAL ONE FINANCIAL CORP Long Equity-common US $601K 4K 0.11
CARDINAL HEALTH INC Long Equity-common US $272K 3K 0.05
CarMax Inc Long Equity-common US $131K 2K 0.02
CARNIVAL CORP Long Equity-common US $215K 11K 0.04
Carrier Global Corp Long Equity-common US $597K 9K 0.11
Catalent Inc Long Equity-common US $117K 2K 0.02
CATERPILLAR INC Long Equity-common US $2M 6K 0.35
Cboe Global Markets Inc Long Equity-common US $205K 1K 0.04
CBRE GROUP INC - A Long Equity-common US $305K 3K 0.06
CDW Corp/DE Long Equity-common US $343K 2K 0.07
Celanese Corp Long Equity-common US $154K 1K 0.03
CENTENE CORP Long Equity-common US $405K 6K 0.08
CenterPoint Energy Inc Long Equity-common US $223K 7K 0.04
CF Industries Holdings Inc Long Equity-common US $154K 2K 0.03
CH Robinson Worldwide Inc Long Equity-common US $117K 1K 0.02
Charles River Laboratories International Inc Long Equity-common US $121K 585 0.02
CHARLES SCHWAB CORP (SCHWAB (CHARLES) CORP) Long Equity-common US $1M 17K 0.24
Charter Communications Inc Long Equity-common US $332K 1K 0.06
CHEVRON CORP Long Equity-common US $3M 19K 0.58
CHIPOTLE MEXICAN GRILL INC Long Equity-common US $977K 16K 0.19
Chubb Ltd Long Equity-common CH $1M 5K 0.22
CHURCH & DWIGHT CO INC Long Equity-common US $289K 3K 0.05
Cigna Group/The Long Equity-common US $1M 3K 0.20
Cincinnati Financial Corp Long Equity-common US $210K 2K 0.04
CINTAS CORP Long Equity-common US $683K 975 0.13
CISCO SYSTEMS INC Long Equity-common US $2M 46K 0.41
CITIGROUP INC Long Equity-common US $1M 22K 0.26
CITIZENS FINANCIAL GROUP INC Long Equity-common US $182K 5K 0.03
CLOROX CO/THE (CLOROX COMPANY) Long Equity-common US $197K 1K 0.04
CME Group Inc Long Equity-common US $804K 4K 0.15
CMS ENERGY CORP Long Equity-common US $202K 3K 0.04
COCA-COLA CO Long Equity-common US $3M 44K 0.53
Cognizant Technology Solutions Corp Long Equity-common US $384K 6K 0.07
COLGATE-PALMOLIVE CO Long Equity-common US $904K 9K 0.17
COMCAST CORP-CLASS A Long Equity-common US $2M 44K 0.33
CONAGRA BRANDS INC Long Equity-common US $149K 5K 0.03
CONOCOPHILLIPS Long Equity-common US $2M 13K 0.29
Consolidated Edison Inc Long Equity-common US $351K 4K 0.07
CONSTELLATION BRANDS INC-A Long Equity-common US $472K 2K 0.09
Constellation Energy Corp Long Equity-common US $721K 4K 0.14
Cooper Cos Inc/The Long Equity-common US $197K 2K 0.04
Copart Inc Long Equity-common US $538K 10K 0.10
Corning Inc Long Equity-common US $342K 9K 0.06
Corpay Inc Long Equity-common US $213K 798 0.04
Corteva Inc Long Equity-common US $429K 8K 0.08
CoStar Group Inc Long Equity-common US $344K 5K 0.07
COSTCO WHOLESALE CORP Long Equity-common US $4M 5K 0.81
Coterra Energy Inc Long Equity-common US $225K 8K 0.04
Crowdstrike Holdings Inc Long Equity-common US $1M 3K 0.19
Crown Castle Inc Long Equity-common US $479K 5K 0.09
CSX Corp Long Equity-common US $738K 22K 0.14
CUMMINS INC Long Equity-common US $430K 2K 0.08
CVS HEALTH CORP Long Equity-common US $842K 14K 0.16
Danaher Corp Long Equity-common US $2M 7K 0.36
Darden Restaurants Inc Long Equity-common US $205K 1K 0.04
DaVita Inc Long Equity-common US $79K 573 0.02
Dayforce Inc Long Equity-common US $86K 2K 0.02
Deckers Outdoor Corp Long Equity-common US $282K 291 0.05
Deere & Co Long Equity-common US $1M 3K 0.21
DELTA AIR LINES INC Long Equity-common US $347K 7K 0.07
Devon Energy Corp Long Equity-common US $340K 7K 0.06
Dexcom Inc Long Equity-common US $512K 5K 0.10
Diamondback Energy Inc Long Equity-common US $410K 2K 0.08
Digital Realty Trust Inc Long Equity-common US $560K 4K 0.11
DISCOVER FINANCIAL SERVICES Long Equity-common US $377K 3K 0.07
DOLLAR GENERAL CORP Long Equity-common US $330K 2K 0.06
DOLLAR TREE INC Long Equity-common US $251K 2K 0.05
DOMINION ENERGY INC Long Equity-common US $464K 9K 0.09
Domino's Pizza Inc Long Equity-common US $208K 403 0.04
Dover Corp Long Equity-common US $282K 2K 0.05
Dow Inc Long Equity-common US $423K 8K 0.08
DR Horton Inc Long Equity-common US $474K 3K 0.09
DTE ENERGY CO (DTE ENERGY COMPANY) Long Equity-common US $262K 2K 0.05
DUKE ENERGY CORP Long Equity-common US $878K 9K 0.17
DuPont de Nemours Inc Long Equity-common US $382K 5K 0.07
EASTMAN CHEMICAL CO Long Equity-common US $129K 1K 0.02
Eaton Corp PLC Long Equity-common US $1M 5K 0.27
EBAY INC Long Equity-common US $312K 6K 0.06
ECOLAB INC Long Equity-common US $687K 3K 0.13
EDISON INTERNATIONAL Long Equity-common US $311K 4K 0.06
EDWARDS LIFESCIENCES CORP Long Equity-common US $629K 7K 0.12
Electronic Arts Inc Long Equity-common US $385K 3K 0.07
Elevance Health Inc Long Equity-common US $1M 3K 0.27
ELI LILLY & CO Long Equity-common US $8M 9K 1.56
EMERSON ELECTRIC CO Long Equity-common US $715K 6K 0.14
Enphase Energy Inc Long Equity-common US $155K 2K 0.03
ENTERGY CORP Long Equity-common US $259K 2K 0.05
EOG RESOURCES INC Long Equity-common US $820K 7K 0.16
EPAM Systems Inc Long Equity-common US $124K 658 0.02
EQT Corp Long Equity-common US $185K 5K 0.04
Equifax Inc Long Equity-common US $344K 1K 0.07
EQUINIX INC Long Equity-common US $815K 1K 0.15
Equity Residential Long Equity-common US $271K 4K 0.05
Essex Property Trust Inc Long Equity-common US $198K 729 0.04
ESTEE LAUDER COMPANIES Long Equity-common US $284K 3K 0.05
Etsy Inc Long Equity-common US $77K 1K 0.01
Everest Group Ltd Long Equity-common BM $188K 493 0.04
EVERGY INC Long Equity-common US $135K 3K 0.03
EVERSOURCE ENERGY Long Equity-common US $228K 4K 0.04
EXELON CORP Long Equity-common US $392K 11K 0.07
Expedia Group Inc Long Equity-common US $183K 1K 0.03
Expeditors International of Washington Inc Long Equity-common US $197K 2K 0.04
Extra Space Storage Inc Long Equity-common US $373K 2K 0.07
EXXON MOBIL CORP Long Equity-common US $6M 51K 1.11
F5 Inc Long Equity-common US $115K 665 0.02
FACEBOOK INC (FACEBOOK INC-A) Long Equity-common US $13M 25K 2.38
FactSet Research Systems Inc Long Equity-common US $177K 433 0.03
Fair Isaac Corp Long Equity-common US $417K 280 0.08
FASTENAL CO Long Equity-common US $407K 6K 0.08
Federal Realty Investment Trust Long Equity-common US $82K 814 0.02
FEDEX CORP Long Equity-common US $771K 3K 0.15
FIDELITY NATIONAL INFORMATION SERVICES INC (FIDELITY NATIONAL INFO SERV) Long Equity-common US $476K 6K 0.09
FIFTH THIRD BANCORP Long Equity-common US $283K 8K 0.05
First Solar Inc Long Equity-common US $273K 1K 0.05
FIRSTENERGY CORP Long Equity-common US $225K 6K 0.04
Fiserv Inc Long Equity-common US $990K 7K 0.19
FMC CORP Long Equity-common US $76K 1K 0.01
FORD MOTOR CO Long Equity-common US $558K 45K 0.11
Fortinet Inc Long Equity-common US $435K 7K 0.08
FORTIVE CORP Long Equity-common US $292K 4K 0.06
Fox Corp Long Equity-common US $90K 3K 0.02
Fox Corp Long Equity-common US $48K 1K 0.01
Franklin Resources Inc Long Equity-common US $81K 4K 0.02
FREEPORT-MCMORAN INC Long Equity-common US $793K 16K 0.15
Garmin Ltd Long Equity-common CH $288K 2K 0.05
Gartner Inc Long Equity-common US $396K 881 0.08
GE HealthCare Technologies Inc Long Equity-common US $376K 5K 0.07
GE Vernova Inc Long Equity-common US $534K 3K 0.10
Gen Digital Inc Long Equity-common US $156K 6K 0.03
Generac Holdings Inc Long Equity-common US $91K 688 0.02
General Dynamics Corp Long Equity-common US $749K 3K 0.14
General Electric Co Long Equity-common US $2M 12K 0.38
General Mills Inc Long Equity-common US $405K 6K 0.08
GENERAL MOTORS CO Long Equity-common US $605K 13K 0.11
Genuine Parts Co Long Equity-common US $220K 2K 0.04
GILEAD SCIENCES INC Long Equity-common US $966K 14K 0.18
GLOBAL PAYMENTS INC Long Equity-common US $280K 3K 0.05
Globe Life Inc Long Equity-common US $78K 953 0.01
GoDaddy Inc Long Equity-common US $224K 2K 0.04
GOLDMAN SACHS GROUP INC Long Equity-common US $2M 4K 0.31
HALLIBURTON CO Long Equity-common US $341K 10K 0.06
HARTFORD FINANCIAL SERVICES GR (HARTFORD FINANCIAL SERVICES GROUP INC) Long Equity-common US $338K 3K 0.06
Hasbro Inc Long Equity-common US $87K 1K 0.02
HCA Healthcare Inc Long Equity-common US $707K 2K 0.13
Healthpeak Properties Inc Long Equity-common US $157K 8K 0.03
Henry Schein Inc Long Equity-common US $91K 1K 0.02
Hershey Co/The Long Equity-common US $308K 2K 0.06
Hess Corp Long Equity-common US $461K 3K 0.09
HEWLETT PACKARD ENTERPRISE Long Equity-common US $311K 15K 0.06
HILTON WORLDWIDE HOLDINGS INC Long Equity-common US $619K 3K 0.12
Hologic Inc Long Equity-common US $195K 3K 0.04
HOME DEPOT INC Long Equity-common US $4M 11K 0.73
HONEYWELL INTERNATIONAL INC Long Equity-common US $2M 7K 0.30
Hormel Foods Corp Long Equity-common US $100K 3K 0.02
Host Hotels & Resorts Inc Long Equity-common US $144K 8K 0.03
Howmet Aerospace Inc Long Equity-common US $342K 4K 0.06
HP INC Long Equity-common US $343K 10K 0.07
Hubbell Inc Long Equity-common US $227K 620 0.04
HUMANA INC Long Equity-common US $511K 1K 0.10
HUNTINGTON BANCSHARES INC/OH Long Equity-common US $217K 16K 0.04
Huntington Ingalls Industries Inc Long Equity-common US $105K 427 0.02
IDEX Corp Long Equity-common US $173K 859 0.03
IDEXX LABORATORIES INC Long Equity-common US $460K 944 0.09
Illinois Tool Works Inc Long Equity-common US $731K 3K 0.14
INCYTE CORP Long Equity-common US $128K 2K 0.02
Ingersoll Rand Inc Long Equity-common US $418K 5K 0.08
Insulet Corp Long Equity-common US $163K 809 0.03
INTEL CORP Long Equity-common US $1M 48K 0.28
Intercontinental Exchange Inc Long Equity-common US $891K 7K 0.17
International Business Machines Corp (IBM) Long Equity-common US $2M 10K 0.34
International Flavors & Fragrances Inc (IFF) Long Equity-common US $276K 3K 0.05
INTERNATIONAL PAPER CO Long Equity-common US $170K 4K 0.03
Interpublic Group of Cos Inc/The Long Equity-common US $120K 4K 0.02
Intuit Inc Long Equity-common US $2M 3K 0.40
INTUITIVE SURGICAL INC Long Equity-common US $2M 4K 0.34
Invesco Ltd Long Equity-common US $76K 5K 0.01
Invesco Treasury Portfolio Long Short-term investment vehicle US $6M 6M 1.07
Invitation Homes Inc Long Equity-common US $236K 7K 0.04
IQVIA HOLDINGS INC Long Equity-common US $437K 2K 0.08
Iron Mountain Inc Long Equity-common US $300K 3K 0.06
Jabil Inc Long Equity-common US $150K 1K 0.03
Jack Henry & Associates Inc Long Equity-common US $137K 828 0.03
Jacobs Solutions Inc Long Equity-common US $199K 1K 0.04
JB HUNT TRANSPORT SERVICES INC (HUNT (JB) TRANSPRT SVCS INC) Long Equity-common US $148K 925 0.03
JM SMUCKER CO Long Equity-common US $131K 1K 0.02
JOHNSON & JOHNSON Long Equity-common US $4M 27K 0.76
Johnson Controls International plc Long Equity-common US $508K 8K 0.10
JPMORGAN CHASE & CO Long Equity-common US $7M 33K 1.25
JUNIPER NETWORKS INC Long Equity-common US $135K 4K 0.03
Kellanova Long Equity-common US $172K 3K 0.03
Kenvue Inc Long Equity-common US $399K 22K 0.08
Keurig Dr Pepper Inc Long Equity-common US $393K 12K 0.07
KEYCORP Long Equity-common US $152K 11K 0.03
Keysight Technologies Inc Long Equity-common US $271K 2K 0.05
KIMBERLY-CLARK CORP Long Equity-common US $529K 4K 0.10
KIMCO REALTY CORP Long Equity-common US $149K 8K 0.03
KINDER MORGAN INC (KINDER MORGAN INC/DE) Long Equity-common US $438K 22K 0.08
KKR & Co Inc Long Equity-common US $795K 8K 0.15
KLA Corp Long Equity-common US $1M 2K 0.24
Kraft Heinz Co/The Long Equity-common US $289K 9K 0.05
KROGER CO Long Equity-common US $377K 8K 0.07
L3Harris Technologies Inc Long Equity-common US $488K 2K 0.09
Labcorp Holdings Inc Long Equity-common US $195K 957 0.04
LAM RESEARCH CORP Long Equity-common US $2M 1K 0.30
Lamb Weston Holdings Inc Long Equity-common US $138K 2K 0.03
Las Vegas Sands Corp Long Equity-common US $183K 4K 0.03
Leidos Holdings Inc Long Equity-common US $224K 2K 0.04
Lennar Corp Long Equity-common US $417K 3K 0.08
Linde PLC Long Equity-common US $2M 5K 0.46
Live Nation Entertainment Inc Long Equity-common US $154K 2K 0.03
LKQ Corp Long Equity-common US $122K 3K 0.02
Lockheed Martin Corp Long Equity-common US $1M 2K 0.22
LOEWS CORP Long Equity-common US $154K 2K 0.03
LOWE'S COS INC Long Equity-common US $1M 7K 0.27
Lululemon Athletica Inc Long Equity-common CA $385K 1K 0.07
LyondellBasell Industries NV Long Equity-common US $279K 3K 0.05
M&T Bank Corp Long Equity-common US $287K 2K 0.05
Marathon Oil Corp Long Equity-common US $183K 6K 0.03
MARATHON PETROLEUM CORP Long Equity-common US $694K 4K 0.13
MarketAxess Holdings Inc Long Equity-common US $86K 430 0.02
MARRIOTT INTERNATIONAL INC/MD Long Equity-common US $659K 3K 0.13
Marsh & McLennan Cos Inc Long Equity-common US $1M 6K 0.22
Martin Marietta Materials Inc Long Equity-common US $381K 704 0.07
Masco Corp Long Equity-common US $167K 3K 0.03
MASTERCARD INC (MASTERCARD INC - A) Long Equity-common US $4M 9K 0.78
Match Group Inc Long Equity-common US $91K 3K 0.02
MCCORMICK & CO INC/MD (MCCORMICK & CO-NON VTG SHRS) Long Equity-common US $207K 3K 0.04
MCDONALD'S CORP Long Equity-common US $2M 8K 0.40
MCKESSON CORP Long Equity-common US $865K 1K 0.16
Medtronic PLC Long Equity-common IE $1M 15K 0.22
MERCK & CO. INC. Long Equity-common US $4M 29K 0.68
METLIFE INC Long Equity-common US $481K 7K 0.09
Mettler-Toledo International Inc Long Equity-common US $338K 242 0.06
MGM RESORTS INTERNATIONAL Long Equity-common US $129K 3K 0.02
MICROCHIP TECHNOLOGY INC Long Equity-common US $560K 6K 0.11
MICRON TECHNOLOGY INC Long Equity-common US $2M 13K 0.31
MICROSOFT CORP Long Equity-common US $38M 84K 7.16
Mid-America Apartment Communities Inc Long Equity-common US $189K 1K 0.04
Moderna Inc Long Equity-common US $445K 4K 0.08
MOHAWK INDUSTRIES INC Long Equity-common US $64K 564 0.01
Molina Healthcare Inc Long Equity-common US $198K 665 0.04
MOLSON COORS BREWING CO -B Long Equity-common US $105K 2K 0.02
MONDELEZ INTERNATIONAL INC (MONDELEZ INTERNATIONAL INC-A) Long Equity-common US $995K 15K 0.19
Monolithic Power Systems Inc Long Equity-common US $454K 553 0.09
MONSTER BEVERAGE CORP Long Equity-common US $404K 8K 0.08
MOODY'S CORP Long Equity-common US $751K 2K 0.14
MORGAN STANLEY Long Equity-common US $1M 14K 0.26
Mosaic Co/The Long Equity-common US $105K 4K 0.02
Motorola Solutions Inc Long Equity-common US $731K 2K 0.14
MSCI Inc Long Equity-common US $435K 903 0.08
Nasdaq Inc Long Equity-common US $260K 4K 0.05
NetApp Inc Long Equity-common US $302K 2K 0.06
NETFLIX INC Long Equity-common US $3M 5K 0.63
Newmont Corp Long Equity-common US $544K 13K 0.10
News Corp Long Equity-common US $117K 4K 0.02
News Corp Long Equity-common US $36K 1K 0.01
NEXTERA ENERGY INC Long Equity-common US $2M 23K 0.31
NIKE INC Long Equity-common US $1M 14K 0.20
NISOURCE INC Long Equity-common US $147K 5K 0.03
Nordson Corp Long Equity-common US $138K 595 0.03
Norfolk Southern Corp Long Equity-common US $551K 3K 0.10
Northern Trust Corp Long Equity-common US $190K 2K 0.04
Northrop Grumman Corp Long Equity-common US $691K 2K 0.13
Norwegian Cruise Line Holdings Ltd Long Equity-common US $92K 5K 0.02
NRG ENERGY INC Long Equity-common US $184K 2K 0.04
NUCOR CORP Long Equity-common US $430K 3K 0.08
NVIDIA CORP Long Equity-common US $34M 279K 6.55
NVR Inc Long Equity-common US $273K 36 0.05
NXP Semiconductors NV Long Equity-common NL $779K 3K 0.15
O'REILLY AUTOMOTIVE INC Long Equity-common US $707K 669 0.13
OCCIDENTAL PETROLEUM CORP Long Equity-common US $472K 7K 0.09
Old Dominion Freight Line Inc Long Equity-common US $357K 2K 0.07
Omnicom Group Inc Long Equity-common US $199K 2K 0.04
ON Semiconductor Corp Long Equity-common US $333K 5K 0.06
ONEOK INC Long Equity-common US $537K 7K 0.10
ORACLE CORP Long Equity-common US $3M 18K 0.49
Otis Worldwide Corp Long Equity-common US $442K 5K 0.08
PACCAR INC Long Equity-common US $612K 6K 0.12
Packaging Corp of America Long Equity-common US $185K 1K 0.04
Palo Alto Networks Inc Long Equity-common US $1M 4K 0.24
Paramount Global Long Equity-common US $54K 5K 0.01
PARKER-HANNIFIN CORP (PARKER HANNIFIN CORP) Long Equity-common US $738K 1K 0.14
Paychex Inc Long Equity-common US $431K 4K 0.08
Paycom Software Inc Long Equity-common US $74K 518 0.01
PAYPAL HOLDINGS INC Long Equity-common US $689K 12K 0.13
Pentair PLC Long Equity-common GB $145K 2K 0.03
PEPSICO INC Long Equity-common US $3M 16K 0.49
PFIZER INC Long Equity-common US $2M 64K 0.34
PG&E Corp Long Equity-common US $420K 24K 0.08
PHILIP MORRIS INTERNATIONAL IN (PHILIP MORRIS INTERNATIONAL INC) Long Equity-common US $2M 18K 0.34
Phillips 66 Long Equity-common US $680K 5K 0.13
PINNACLE WEST CAPITAL CORP Long Equity-common US $97K 1K 0.02
PNC FINANCIAL SERVICES GROUP INC/THE Long Equity-common US $702K 5K 0.13
Pool Corp Long Equity-common US $134K 435 0.03
PPG INDUSTRIES INC Long Equity-common US $336K 3K 0.06
PPL CORP Long Equity-common US $232K 8K 0.04
PRINCIPAL FINANCIAL GROUP (PRINCIPAL FINANCIAL GROUP INC) Long Equity-common US $192K 2K 0.04
PROCTER & GAMBLE CO/THE Long Equity-common US $4M 27K 0.84
Progressive Corp/The Long Equity-common US $1M 7K 0.26
Prologis Inc Long Equity-common US $1M 11K 0.22
Prudential Financial Inc Long Equity-common US $479K 4K 0.09
PTC Inc Long Equity-common US $251K 1K 0.05
PUBLIC SERVICE ENTERPRISE GROUP INC (PUBLIC SERVICE ENTERPRISE GP) Long Equity-common US $413K 6K 0.08
Public Storage Long Equity-common US $514K 2K 0.10
PulteGroup Inc Long Equity-common US $263K 2K 0.05
Qorvo Inc Long Equity-common US $124K 1K 0.02
QUALCOMM INC Long Equity-common US $3M 13K 0.48
QUANTA SERVICES INC Long Equity-common US $419K 2K 0.08
Quest Diagnostics Inc Long Equity-common US $173K 1K 0.03
RALPH LAUREN CORP Long Equity-common US $78K 443 0.01
Raymond James Financial Inc Long Equity-common US $263K 2K 0.05
Realty Income Corp Long Equity-common US $522K 10K 0.10
Regency Centers Corp Long Equity-common US $113K 2K 0.02
REGENERON PHARMACEUTICALS INC Long Equity-common US $1M 1K 0.24
REGIONS FINANCIAL CORP Long Equity-common US $203K 10K 0.04
Republic Services Inc Long Equity-common US $449K 2K 0.09
ResMed Inc Long Equity-common US $321K 2K 0.06
Revvity Inc Long Equity-common US $152K 1K 0.03
Rockwell Automation Inc Long Equity-common US $361K 1K 0.07
Rollins Inc Long Equity-common US $156K 3K 0.03
ROPER TECHNOLOGIES INC Long Equity-common US $685K 1K 0.13
ROSS STORES INC Long Equity-common US $553K 4K 0.11
Royal Caribbean Cruises Ltd Long Equity-common US $431K 3K 0.08
RTX Corp Long Equity-common US $2M 15K 0.29
S&P GLOBAL INC Long Equity-common US $2M 4K 0.31
S&P500 EMINI (CHICAGO MERCANTILE EXCHANGE INC.) Derivative-equity US $15K 0.00
SALESFORCE.COM INC Long Equity-common US $3M 11K 0.54
SBA COMMUNICATIONS CORP Long Equity-common US $239K 1K 0.05
SCHLUMBERGER LTD Long Equity-common US $766K 16K 0.15
Seagate Technology Holdings PLC Long Equity-common US $231K 2K 0.04
SEMPRA ENERGY Long Equity-common US $546K 7K 0.10
ServiceNow Inc Long Equity-common US $2M 2K 0.35
Sherwin-Williams Co/The Long Equity-common US $790K 3K 0.15
Simon Property Group Inc Long Equity-common US $557K 4K 0.11
Skyworks Solutions Inc Long Equity-common US $196K 2K 0.04
Snap-on Inc Long Equity-common US $156K 598 0.03
Solventum Corp Long Equity-common US $81K 2K 0.02
Southern Co/The Long Equity-common US $963K 12K 0.18
SOUTHWEST AIRLINES CO Long Equity-common US $194K 7K 0.04
STANLEY BLACK & DECKER INC Long Equity-common US $140K 2K 0.03
STARBUCKS CORP Long Equity-common US $1M 13K 0.19
STATE STREET CORP Long Equity-common US $253K 3K 0.05
Steel Dynamics Inc Long Equity-common US $217K 2K 0.04
STERIS PLC Long Equity-common US $249K 1K 0.05
Stryker Corp Long Equity-common US $1M 4K 0.25
Super Micro Computer Inc Long Equity-common US $466K 569 0.09
SYNCHRONY FINANCIAL Long Equity-common US $215K 5K 0.04
Synopsys Inc Long Equity-common US $1M 2K 0.20
SYSCO CORP Long Equity-common US $404K 6K 0.08
T Rowe Price Group Inc Long Equity-common US $292K 3K 0.06
T-Mobile US Inc Long Equity-common US $1M 6K 0.20
TAKE-TWO INTERACTIVE SOFTWARE INC (TAKE-TWO INTERACTIVE SOFTWRE) Long Equity-common US $280K 2K 0.05
TAPESTRY INC Long Equity-common US $112K 3K 0.02
Targa Resources Corp Long Equity-common US $328K 3K 0.06
TARGET CORP Long Equity-common US $778K 5K 0.15
TE Connectivity Ltd Long Equity-common US $523K 3K 0.10
Teledyne Technologies Inc Long Equity-common US $214K 551 0.04
Teleflex Inc Long Equity-common US $113K 535 0.02
Teradyne Inc Long Equity-common US $259K 2K 0.05
Tesla Inc Long Equity-common US $6M 31K 1.18
TEXAS INSTRUMENTS INC Long Equity-common US $2M 10K 0.38
Textron Inc Long Equity-common US $181K 2K 0.03
THERMO FISHER SCIENTIFIC INC Long Equity-common US $2M 4K 0.46
TJX COS INC Long Equity-common US $1M 13K 0.27
Tractor Supply Co Long Equity-common US $330K 1K 0.06
Trane Technologies PLC Long Equity-common IE $840K 3K 0.16
TransDigm Group Inc Long Equity-common US $811K 635 0.15
TRAVELERS COS INC/THE Long Equity-common US $526K 3K 0.10
Trimble Inc Long Equity-common US $160K 3K 0.03
Truist Financial Corp Long Equity-common US $585K 15K 0.11
Tyler Technologies Inc Long Equity-common US $242K 482 0.05
TYSON FOODS INC Long Equity-common US $186K 3K 0.04
Uber Technologies Inc Long Equity-common US $2M 24K 0.33
UDR Inc Long Equity-common US $142K 3K 0.03
ULTA BEAUTY INC Long Equity-common US $210K 544 0.04
UNION PACIFIC CORP Long Equity-common US $2M 7K 0.30
UNITED CONTINENTAL HOLDINGS Long Equity-common US $182K 4K 0.03
UNITED PARCEL SERVICE INC (UNITED PARCEL SERVICE-CL B) Long Equity-common US $1M 8K 0.22
United Rentals Inc Long Equity-common US $489K 756 0.09
UNITEDHEALTH GROUP INC Long Equity-common US $5M 10K 1.01
UNIVERSAL HEALTH SERVICES INC (UNIVERSAL HEALTH SERVICES-B) Long Equity-common US $125K 677 0.02
US BANCORP Long Equity-common US $703K 18K 0.13
VALERO ENERGY CORP Long Equity-common US $582K 4K 0.11
Ventas Inc Long Equity-common US $238K 5K 0.05
Veralto Corp Long Equity-common US $238K 2K 0.05
VeriSign Inc Long Equity-common US $172K 969 0.03
VERISK ANALYTICS INC Long Equity-common US $437K 2K 0.08
VERIZON COMMUNICATIONS INC Long Equity-common US $2M 48K 0.37
VERTEX PHARMACEUTICALS INC Long Equity-common US $1M 3K 0.26
Viatris Inc Long Equity-common US $144K 14K 0.03
VICI Properties Inc Long Equity-common US $340K 12K 0.06
VISA INC SHARES Long Equity-common US $5M 18K 0.89
Vistra Corp Long Equity-common US $323K 4K 0.06
VULCAN MATERIALS CO Long Equity-common US $376K 2K 0.07
W R Berkley Corp Long Equity-common US $184K 2K 0.03
WALGREENS BOOTS ALLIANCE INC Long Equity-common US $98K 8K 0.02
WALMART INC Long Equity-common US $3M 48K 0.62
WALT DISNEY CO Long Equity-common US $2M 21K 0.39
Warner Bros Discovery Inc Long Equity-common US $188K 25K 0.04
WASTE MANAGEMENT INC Long Equity-common US $882K 4K 0.17
Waters Corp Long Equity-common US $195K 673 0.04
WEC ENERGY GROUP INC Long Equity-common US $281K 4K 0.05
WELLS FARGO & CO Long Equity-common US $2M 40K 0.45
Welltower Inc Long Equity-common US $708K 7K 0.13
West Pharmaceutical Services Inc Long Equity-common US $273K 829 0.05
WESTERN DIGITAL CORP Long Equity-common US $281K 4K 0.05
Westinghouse Air Brake Technologies Corp Long Equity-common US $318K 2K 0.06
WESTROCK CO Long Equity-common US $151K 3K 0.03
WEYERHAEUSER CO Long Equity-common US $235K 8K 0.04
WILLIAMS COS INC/THE Long Equity-common US $584K 14K 0.11
Willis Towers Watson PLC Long Equity-common GB $307K 1K 0.06
WW GRAINGER INC Long Equity-common US $451K 500 0.09
Wynn Resorts Ltd Long Equity-common US $96K 1K 0.02
XCEL ENERGY INC Long Equity-common US $335K 6K 0.06
Xylem Inc/NY Long Equity-common US $373K 3K 0.07
Yum! Brands Inc Long Equity-common US $423K 3K 0.08
Zebra Technologies Corp Long Equity-common US $180K 584 0.03
ZIMMER BIOMET HOLDINGS INC Long Equity-common US $253K 2K 0.05
ZOETIS INC Long Equity-common US $898K 5K 0.17

Address

Legg Mason Partners Investment Trust
620 Eighth Avenue
47th Floor
New York
New York
10018
United States of America

Directors

Jane Trust
Robin J.W. Masters
G. Peter O'Brien
Paul R. Ades
Ken Miller
Susan M. Heilbron
Andrew L. Breech
Arnold L. Lehman
Stephen R. Gross
Althea L. Duersten
Thomas F. Schlafly

Transfer Agents

Franklin Templeton Investor Services, LLC

Pricing Services

Bank of America Merill Lynch PriceServe
S&P Global Inc.
THE CLEARING HOUSE PAYMENTS COMPANY L.L.C.
Bloomberg L.P.
PricingDirect Inc.
Refinitiv US LLC
ICE Data Pricing & Reference Data, LLC
Refinitiv Benchmark Services Limited
Virtu Financial, Inc.

Custodians

The Bank of New York Mellon

Shareholder Servicing Agents

Franklin Templeton Investor Services, LLC

Admins

Legg Mason Partners Fund Advisor, LLC

Brokers

UBS Securities LLC
LIQUIDNET, INC.
SANFORD C. BERNSTEIN & CO., LLC
INSTINET, LLC
ABN AMRO SECURITIES (USA) LLC
GOLDMAN SACHS & CO. LLC
Cowen and Company, LLC
J.P. Morgan Securities LLC
BOFA SECURITIES, INC.
VIRTU AMERICAS LLC