Cryptoeconomics

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Data series

Franklin OnChain U.S. Government Money Fund, net assets

Total net assets of the Franklin OnChain U.S. Government Money Fund, the US-registered money market fund whose share register is maintained on public blockchains, as filed in its audited annual report on Form N-CSR.

Latest verified $844m 31 March 2026
Change, one observation +22.8%
Observations held 5 annual, fiscal year ending 31 March
Franklin OnChain U.S. Government Money Fund, net assets
Total net assets at fiscal year end · US dollars
0$250m$500m$750m$1bn20222023202420252026
View as table
PeriodFranklin OnChain U.S. Government Money Fund, net assetsNote
2022-03-31$1,958,000First full fiscal year end after the fund commenced operations on 6 April 2021; the financial highlights print net assets of $1,958 thousand.
2023-03-31$272,929,000
2024-03-31$360,554,000
2025-03-31$687,263,352
2026-03-31$843,835,815Matches the statement of assets and liabilities in the same annual report; the financial highlights round it to $843,836 thousand.
Source: US Securities and Exchange Commission (Franklin Templeton Trust, Form N-CSR) · As of 31 March 2026 · Unit: US dollars · Frequency: annual, fiscal year ending 31 March · Coverage: one US-registered fund

Refresh

This series has no endpoint reachable from the page, so the figure shows the value as of the last build. It is not labelled live and the timestamp is the build timestamp. Cadence: annual, fiscal year ending 31 March.

Treated as stale after 425 days (about 1.2 years) without a new observation. Past that point the figure keeps the last verified number and carries a badge; it does not hide it and does not substitute an estimate.

Scope

The fund has a single share class and a fiscal year ending 31 March, so the series is annual and each observation is an audited figure rather than a platform estimate. It excludes Franklin Templeton's other tokenised vehicles, including the offshore BENJI share classes that RWA.xyz valued at $2.6bn on 25 July 2026, and it is therefore not a measure of the manager's tokenised assets in total.

All series and methods →

Observations

Every observation held for this series, in the order the source published them, exactly as published by US Securities and Exchange Commission (Franklin Templeton Trust, Form N-CSR).

PeriodValue (USD)Note
2022-03-31$1,958,000First full fiscal year end after the fund commenced operations on 6 April 2021; the financial highlights print net assets of $1,958 thousand.
2023-03-31$272,929,000
2024-03-31$360,554,000
2025-03-31$687,263,352
2026-03-31$843,835,815Matches the statement of assets and liabilities in the same annual report; the financial highlights round it to $843,836 thousand.

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