Fund Information
Franklin Templeton Investment Funds -
Templeton Emerging Markets Bond Fund
Important Legal Information
The Fund prices shown below are for information only.
Investments are subject to investment risks, fund value may go up as well as down and past performance is not indicative of future performance. The investment returns are denominated in fund currency. Investors investing in funds denominated in non-local currency should be aware of the risk of exchange rate fluctuations that may cause a loss of principal. Where a fund invests in emerging markets, this investment can be more volatile than an investment in developed markets. Investors should read the explanatory memorandum or prospectus (including the risk factors) and especially the risk disclosure on investment in emerging markets before investing. Where a fund has transactions in derivatives so as to meet its investment objective, the net asset value of the fund may have a higher volatility due to these instruments and techniques being included in its scheme property and may involve a greater degree of risk than is the case with conventional securities. Please contact your financial advisor if you are in doubt of any information contained in this website.
The information has not been reviewed by the Securities and Futures Commission of Hong Kong.
Fund Details

Daily Prices As of 18/11/2008
Share Class Currency Current NAV
A(Qd)EUR EUR 9.83
A(Qd)USD USD 12.39
B(Qdis) USD 11.23
I(acc) USD 11.14
Templeton Emerging Markets Bond Fund
 
Class A (Qdis)
Class A(Qdis)EUR
Class B (Qdis)
Class I (acc)
Fund Number
813
698
859
715
Inception
05/07/91
9/9/02
01/07/99
31/08/04
Cusip Number
L9025R224
L4058S660
L9052N245
L4058T627
Reuters
LU002987
6355.LU
LU015298
4307.LUF

LU009912
0023.LU

LU019595
1966.LUF
Bloomberg
TEMEMFI LX
TEMEFAI LX
TEMEFBI LX
TEMEFIA LX
 
Index: Custom JPM EMBI/JPM EMBI Global Index
 
Investment Objective: The Fund's investment objective is to maximize total return through a combination of interest income and capital appreciation. It seeks to achieve by investing in debt obligations issued by corporations and governments or government-related entities of developing or emerging nations.
 
Fund Managers: Michael Hasenstab
 
Dividends: Paid Quarterly - January, April, July, October (For distribution shares only)
 
Valuation: Daily
 
Base Currency: US Dollars
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