generated: '2026-09-10' method: derived source: openapi/_original/franklin-resources-productionproductapi-1.0.0.json revised: '2026-09-10' status: candidate summary: >- Franklin Templeton ships NO MCP server, hosted or local. The tool list below is a candidate derived from the 7 operations of the company's own published contract, and it is recorded as a candidate only. DO NOT BUILD FROM IT AS-IS: the backing host, api.franklintempleton.com, has no DNS A record as of 2026-09-10 (see lifecycle/franklin-resources-lifecycle.yml). This artifact documents what an MCP surface over Franklin Templeton fund data WOULD cover if the API were restored; it does not describe anything callable today. deployment: mode: none endpoint: null install: null package: null auth: unknown verified: derived search_evidence: - what: hosted/remote MCP server result: none found checked: '2026-09-10' - what: npm/PyPI/NuGet package named for a Franklin Templeton MCP server result: none found — see packages/franklin-resources-packages.yml checked: '2026-09-10' - what: /.well-known/oauth-protected-resource or oauth-authorization-server on any host result: none served — see well-known/franklin-resources-well-known.yml checked: '2026-09-10' candidate_tools: - name: get_funds_details rest: GetFundsDetails description: Retrieve reference data for a fund — product type, share classes, name, base currency, identifiers. required_inputs: [FundKey, FundType] - name: get_investment_team rest: GetInvestmentTeam description: Retrieve the investment team associated with a fund. required_inputs: [FundKey, FundType] - name: get_fund_nav rest: GetFundNAV description: Retrieve the current net asset value of a fund. required_inputs: [FundKey, FundType] - name: get_nav_history rest: GetNAVHistory description: Retrieve a fund's NAV time series over a date range. required_inputs: [FundKey, FundType] optional_inputs: [FromDate, ToDate] - name: get_distribution_rate rest: GetDistributionRate description: Retrieve a fund's current distribution rate. required_inputs: [FundKey, FundType] - name: get_distribution_history rest: GetDistributionHistory description: Retrieve a fund's distribution history over a date range. required_inputs: [FundKey, FundType] optional_inputs: [FromDate, ToDate] - name: get_product_aum rest: GetProductAUM description: Retrieve assets under management for a fund. required_inputs: [FundKey, FundType] input_schema_note: >- Every tool above would be read-only and safe to expose to an agent, and each inherits the same two-parameter identifier contract (FundKey + FundType, where FundType names the identifier namespace — ISIN, CUSIP, SEDOL, TICKER and so on). No output schema can be derived: the contract declares no response schema for any operation. pointer_basis: >- NO `MCPServer` pointer is emitted. Franklin Templeton operates no MCP server, and a candidate derived from a retired contract must never read as a shipped agent surface. This file is wired as `X-MCPServerCandidate`.