SUBCONTRACT FOR FUND ADMINISTRATIVE SERVICES

           This   Subcontract   for   Fund   Administrative    Services
("Subcontract")  is made as of March 1, 2008 between FRANKLIN ADVISERS,
INC.,  a California  corporation,  hereinafter  called the  "Investment
Manager," and FRANKLIN TEMPLETON SERVICES, LLC (the "Administrator").

           In consideration of the mutual  agreements  herein made, the
Administrator  and the  Investment  Manager  understand  and  agree  as
follows:

I.    Prime Contract.

This  Subcontract is made in order to assist the Investment  Manager in
fulfilling certain of the Investment  Manager's  obligations under each
investment  management and investment advisory agreement  ("Agreement")
between the Investment  Manager and each  Investment  Company listed on
Exhibit A,  ("Investment  Company")  for itself or on behalf of each of
its series listed on Exhibit A (each,  a "Fund").  This  Subcontract is
subject to the terms of each Agreement,  which is  incorporated  herein
by reference.

II.   Subcontractual Provisions.

      (1)  The   Administrator   agrees,   during   the  life  of  this
Agreement, to provide the following services to each Fund:

           (a)  providing  office space,  telephone,  office  equipment
and supplies for the Fund;

           (b)  providing  trading desk facilities for the Fund, unless
these facilities are provided by the Fund's investment adviser;

           (c)  authorizing   expenditures   and  approving  bills  for
payment on behalf of the Fund;

           (d)  supervising   preparation   of   periodic   reports  to
shareholders,  notices of dividends,  capital gains  distributions  and
tax  credits;  and  attending  to  routine   correspondence  and  other
communications  with  individual  shareholders  when  asked to do so by
the Fund's shareholder servicing agent or other agents of the Fund;

           (e)  coordinating   the   daily   pricing   of  the   Fund's
investment  portfolio,  including  collecting  quotations  from pricing
services  engaged  by the Fund;  providing  fund  accounting  services,
including  preparing  and  supervising  publication  of daily net asset
value  quotations,  periodic earnings reports and other financial data;
and coordinating trade settlements;

           (f)  monitoring  relationships  with  organizations  serving
the Fund,  including  custodians,  transfer agents,  public  accounting
firms, law firms, printers and other third party service providers;

           (g)  supervising  compliance by the Fund with  recordkeeping
requirements  under the federal  securities  laws,  including  the 1940
Act  and  the  rules  and  regulations  thereunder,   and  under  other
applicable  state and federal laws; and  maintaining  books and records
for  the  Fund  (other  than  those  maintained  by the  custodian  and
transfer agent);

           (h)  preparing  and  filing  of tax  reports  including  the
Fund's income tax returns,  and monitoring the Fund's  compliance  with
subchapter  M of the  Internal  Revenue  Code,  as  amended,  and other
applicable tax laws and regulations;

           (i)  monitoring  the Fund's  compliance  with:  1940 Act and
other federal  securities  laws, and rules and regulations  thereunder;
state and foreign laws and  regulations  applicable to the operation of
investment companies;  the Fund's investment  objectives,  policies and
restrictions;  and the Code of Ethics  and other  policies  adopted  by
the Investment  Company's  Board of Trustees or Directors  ("Board") or
by the Fund's investment adviser and applicable to the Fund;

           (j)  providing    executive,    clerical   and   secretarial
personnel needed to carry out the above responsibilities;

           (k)  preparing  and  filing  regulatory  reports,  including
without  limitation Forms N-1A and NSAR, proxy statements,  information
statements and U.S. and foreign ownership reports; and

           (l)  providing  support services  incidental to carrying out
these duties.

Nothing in this  Agreement  shall  obligate the  Investment  Company or
any Fund to pay any  compensation  to the  officers  of the  Investment
Company.  Nothing in this Agreement  shall  obligate the  Administrator
to  pay  for  the  services  of  third  parties,  including  attorneys,
auditors,  printers,  pricing  services or others,  engaged directly by
the Fund to perform services on behalf of the Fund.

      (2)  The Investment  Manager  agrees to pay to the  Administrator
as  compensation  for such  services  a monthly  fee equal on an annual
basis to 0.15% of the  first  $200  million  of the  average  daily net
assets of each Fund during the month  preceding  each payment,  reduced
as  follows:  on such net  assets in excess of $200  million up to $700
million,  a monthly  fee equal on an annual  basis to  0.135%;  on such
net  assets in excess of $700  million  up to $1.2  billion,  a monthly
fee  equal  on an  annual  basis to 0.1%;  and on such  net  assets  in
excess  of $1.2  billion,  a monthly  fee  equal on an annual  basis to
0.075%.

From time to time,  the  Administrator  may  waive all or a portion  of
its fees  provided for  hereunder and such waiver shall be treated as a
reduction  in the purchase  price of its  services.  The  Administrator
shall be  contractually  bound  hereunder  by the terms of any publicly
announced  waiver  of its  fee,  or any  limitation  of  each  affected
Fund's  expenses,  as if such waiver or limitation were fully set forth
herein.

      (3)  This Subcontract  shall become effective on the date written
above and shall  continue in effect as to each  Investment  Company and
each Fund so long as (1) the  Agreement  applicable  to the  Investment
Company  or  Fund  is  in  effect  and  (2)  this  Subcontract  is  not
terminated.  This  Subcontract  will  terminate  as to  any  Investment
Company  or Fund  immediately  upon the  termination  of the  Agreement
applicable to the  Investment  Company or Fund,  and may in addition be
terminated  by either  party at any time,  without  the  payment of any
penalty, on sixty (60) days' written notice to the other party.

      (4)  In the  absence of willful  misfeasance,  bad faith or gross
negligence on the part of the  Administrator,  or of reckless disregard
of its duties and obligations  hereunder,  the Administrator  shall not
be subject to  liability  for any act or  omission in the course of, or
connected with, rendering services hereunder.

      IN  WITNESS   WHEREOF,   the  parties  hereto  have  caused  this
Subcontract to be executed by their duly authorized officers.


FRANKLIN ADVISERS, INC.


By:   /s/ EDWARD B. JAMIESON
      Edward B. Jamieson
      President & Chief Investment Officer



FRANKLIN TEMPLETON SERVICES, LLC


By:   /s/ JIMMY D. GAMBILL
      Jimmy D. Gambill
      President









           SUBCONTRACT FOR FUND ADMINISTRATIVE SERVICES
                              BETWEEN
                      FRANKLIN ADVISERS, INC.
                                AND
                 FRANKLIN TEMPLETON SERVICES, LLC

                             EXHIBIT A


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INVESTMENT COMPANY                 SERIES---(IF APPLICABLE)
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Franklin California Tax-Free
Income Fund

Franklin California Tax-Free Trust Franklin California Insured Tax-Free
                                   Income Fund
                                   Franklin California Tax-Exempt Money Fund
                                   Franklin California Intermediate-Term
                                    Tax-Free Income Fund

Franklin Capital Growth Fund

Franklin Custodian Funds           Franklin Dynatech Fund
                                   Franklin Growth Fund
                                   Franklin Income Fund
                                   Franklin Utilities Fund
                                   Franklin U.S. Government Securities Fund

Franklin Federal Tax- Free Income
Fund

Franklin Gold and Precious Metals
Fund

Franklin High Income Trust         Franklin High Income Fund

Franklin Investors Securities      Franklin Convertible Securities Fund
Trust                              Franklin Equity Income Fund
                                   Franklin Limited Maturity U.S. Gov.
                                   Securities Fund

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Franklin Municipal Securities      Franklin California High Yield Municipal
Trust                              Fund
                                   Franklin Tennessee Municipal Bond Fund

Franklin New York Tax-Free Trust   Franklin New York Tax-Exempt Money Fund
                                   Franklin New York Insured Tax-Free
                                   Income Fund
                                   Franklin New York Intermediate-Term
                                    Tax-Free Income Fund

Franklin New York Tax-Free Income
Fund

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INVESTMENT COMPANY                  SERIES---(IF APPLICABLE)
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Franklin Strategic Mortgage
Portfolio

Franklin Strategic Series           Franklin Flex Cap Growth Fund
                                    Franklin Global Communications Fund
                                    Franklin Global Health Care Fund
                                    Franklin Natural Resources Fund
                                    Franklin Small-Mid Cap Growth Fund
                                    Franklin Strategic Income Fund

Franklin Tax-Exempt Money Fund

Franklin Tax-Free Trust             Franklin Alabama Tax-Free Income Fund
                                    Franklin Arizona Tax-Free Income Fund
                                    Franklin Colorado Tax-Free Income Fund
                                    Franklin Connecticut Tax-Free Income
                                    Fund
                                    Franklin Double Tax-Free Income Fund
                                    Franklin Federal Intermediate-Term
                                    Tax-Free
                                     Income Fund
                                    Franklin Florida Tax-Free Income Fund
                                    Franklin Georgia Tax-Free Income Fund
                                    Franklin High Yield Tax-Free Income Fund
                                    Franklin Insured Tax-Free Income Fund
                                    Franklin Kentucky Tax-Free Income Fund
                                    Franklin Louisiana Tax-Free Income Fund
                                    Franklin Maryland Tax-Free Income Fund
                                    Franklin Massachusetts Insured Tax-Free
                                    Income Fund
                                    Franklin Michigan Insured Tax-Free
                                    Income Fund
                                    Franklin Minnesota Insured Tax-Free
                                    Income Fund
                                    Franklin Missouri Tax-Free Income Fund
                                    Franklin New Jersey Tax-Free Income Fund
                                    Franklin North Carolina Tax-Free Income
                                    Fund
                                    Franklin Ohio Insured Tax-Free Income
                                    Fund
                                    Franklin Oregon Tax-Free Income Fund
                                    Franklin Pennsylvania Tax-Free Income
                                    Fund
                                    Franklin Virginia Tax-Free Income Fund

Franklin Templeton Global Trust     Franklin Templeton Hard Currency Fund

Franklin Templeton International    Templeton Foreign Smaller Companies Fund
Trust
CLOSED END FUNDS:

Franklin Universal Trust
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Exhibit A revised 11-1-08