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FRANKL TEMPL GB EQ ST FD A EUR
FRANKL TEMPL GB EQ ST FD A USD
FRANKLIN ASI FL CAP FD A USD
FRANKLIN ASI FL CAP FD B CAP
FRANKLIN BIOT DISCV B USD CAP
FRANKLIN BIOT DISCV C CAP
FRANKLIN GLB GW I USD CAP
FRANKLIN GLB SMC GW B USD CAP
FRANKLIN HI Y B USD DIS
FRANKLIN HI Y C USD CAP
FRANKLIN INCOME B USD DIS
FRANKLIN INCOME C USD CAP
FRANKLIN INCOME C USD DIS
FRANKLIN INDIA FD B CAP
FRANKLIN INDIA FD C CAP
FRANKLIN MUT BEACON B USD CAP
FRANKLIN MUT BEACON C USD CAP
FRANKLIN MUT EURP B USD CAP
FRANKLIN MUT EURP C EUR CAP
FRANKLIN MUT EURP C USD CAP
FRANKLIN MUT GB DISC FD B CAP
FRANKLIN MUT GB DISC FD C CAP
FRANKLIN TECHNOLOGY C CAP
FRANKLIN TM GLB G&V B USD CAP
FRANKLIN TM GLB G&V C USD CAP
FRANKLIN TM JAPAN C USD CAP
FRANKLIN US EQUITY B USD CAP
FRANKLIN US EQUITY C USD CAP
FRANKLIN US GOVERN B USD CAP
FRANKLIN US GOVERN C USD CAP
FRANKLIN US OPPORT FD I EUR HG
FRANKLIN US SMC GW B USD CAP
FRANKLIN US TO RT C USD DIS
FRANKLIN US ULTRA-SH TM BD FD
FRANKLIN US ULTRA-SH TM BD FD
FT INV FDS BRIC FD C CAP
FT INVEST FDS FRAN US OPP B
FT INVEST FDS FRAN US OPP C
TEMP GB SM CIE FD B CAP
TEMPLETON ASIAN BD FD B DIS
TEMPLETON ASIAN BD FD C DIS
TEMPLETON ASIAN BD FD N DIS
TEMPLETON ASIAN GW C USD CAP
TEMPLETON ASIAN GW I EUR HEDG
TEMPLETON CHINA C USD CAP
TEMPLETON EAST EURP A GBP DIS
TEMPLETON EAST EURP BA USD C
TEMPLETON EAST EURP C USD CAP
TEMPLETON EM MK SM CIES FD N
TEMPLETON EM MKT B USD CAP
TEMPLETON EM MKT BD B USD DIS
TEMPLETON EM MKT BD C USD CAP
TEMPLETON EM MKT C USD CAP
TEMPLETON EUROLAND B USD CAP
TEMPLETON GB EURO FD BA USD
TEMPLETON GB HI YI FD A USD
TEMPLETON GB HI YI FD N EUR
TEMPLETON GB TOT RET FD B USD
TEMPLETON GB TOT RET FD B USD
TEMPLETON GB TOT RET FD C USD
TEMPLETON GB TOT RET FD HEI
TEMPLETON GLB B USD CAP
TEMPLETON GLB BALNC B USD CAP
TEMPLETON GLB BALNC C USD DIS
TEMPLETON GLB BD B USD DIS
TEMPLETON GLB BD H1 EUR
TEMPLETON GLB C USD CAP
TEMPLETON GLB EQ INC B USD DIS
TEMPLETON GLB INCOME B USD DIS
TEMPLETON GLB INCOME C USD DIS
TEMPLETON GLB SM CI C EUR CAP
TEMPLETON GWTH (EURO) FD A USD
TEMPLETON KOREA C CAP
TEMPLETON LATIN AM B DIS
TEMPLETON LATIN AM C DIS
TEMPLETON THAILAND B USD CAP
TEMPLETON USD LIQ R B USD DIS
TEMPLETON USD LIQ R C USD CAP
$ 9,34
(05/03/2021)
Display all the funds of FRANKLIN TEMPLETON INV
More info about this fund
Country :
Luxembourg
ISIN code :
LU0229950810
Category :
Actions Internationales
Capitalization / distribution :
Distribution
Frequency NAV :
Daily
Commercialized by :
FRANKLIN TEMPLETON INVESTMENTS
Depository :
JP MORGAN BANK LUXEMBOURG SA
Performances
1 month :
-1,58 %
3 months :
-3,11 %
1 year :
-7,80 %
2 years :
-13,20 %
5 years :
-21,11 %
Net asset values
First available NAV :
$ 11,22
(27/04/2006)
Last NAV :
$ 9,34
(05/03/2021)
:
$ 16,24
(01/07/2017)
:
$ 8,76
(24/11/2008)
Clik here to download NAV
Performance Calculator
Please enter the amount invested in EUR or the number of shares bought and the purchase date in the fields below.
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Number of shares bought:
Amount invested in €:
Initial amount invested
0,00 €
Amount invested in06/03/2021
0,00 €
06/03/2021
-
Number of shares owned on the 06/03/2021
0,00
time of the Period:
1 year
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