Skip to main content

FRANKLIN RESOURCES INC

Position in AMCR — Amcor plc

CIK 38777 San Mateo, CA

Position in AMCR

as of Jun 30, 2026 · filed Aug 13, 2026
Position Value
$25,662,979
+$3,705,758 QoQ
Shares Held
591,995
+7.2% QoQ
Ownership
0.128%
of shares outstanding
% of Portfolio
0.01%
of 13F equity value
Holder Rank
#70
of 690 holders
Holding Since
Mar 2020
26 quarters on record
Voting authority Sole 99% Shared 0% None 1%

Common Shares in AMCR Over Time

Shares Held

Position Value (USD)

Derivatives in AMCR

reported options exposure · as of Mar 31, 2021
CallValue
$4,061,136
CallShares
69,540
PutValue
$0
PutShares
0

Notional value of option positions as reported on Form 13F. Calls and puts are disclosed separately and do not net against the common-share stake above.

Position in Packaging & Containers

Consumer Cyclical · as of Jun 30, 2026

FRANKLIN RESOURCES INC holds $1,341,881,067 across 16 Packaging & Containers names. AMCR ranks #6 (1.9% of the industry book) .

# Ticker Company Shares Value (USD) Open
6 AMCR
Amcor plc
This page
591,995 $25,662,979

All Filings in AMCR

Export CSV
31 filing rows on record
Report Date Value (USD) Shares
2026-06-30 $25,662,979 591,995
2026-03-31 $21,957,221 552,383
2025-12-31 $22,782,239 2,731,684
2025-09-30 $22,087,075 2,700,132
2025-06-30 $25,511,180 2,775,972
2025-03-31 $6,818,340 702,922
2024-12-31 $5,664,421 601,958
2024-09-30 $8,154,754 719,749
2024-06-30 $5,052,179 516,583
2024-03-31 $5,128,047 539,227
2023-12-31 $5,149,772 534,209
2023-09-30 $4,949,146 540,300
2023-06-30 $5,364,079 537,483
2023-03-31 $6,063,023 532,779
2022-12-31 $6,429,838 539,869
2022-09-30 $5,675,246 528,914
2022-06-30 $6,497,308 522,712
2022-03-31 $5,876,882 518,701
2021-12-31 $7,654,116 637,312
2021-09-30 $6,794,103 586,204
2021-06-30 $6,384,766 557,135
2021-03-31 $4,061,136 347,700
2021-03-31 $5,329,373 456,282
2020-12-31 $5,385,762 457,584
2020-12-31 $4,896,320 416,000
2020-09-30 $5,064,390 458,316
2020-09-30 $5,604,560 507,200
2020-06-30 $10,839,957 1,061,700
2020-06-30 $4,472,378 438,039
2020-03-31 $3,761,061 463,185
2020-03-31 $30,647,316 3,774,300