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LU0300741062

Templeton Global High Yield Fund

As of 28/11/2025

NAV 1

$5.73

 
 

NAV Change 1

$0.01

(0.17%)
As of 31/10/2025

Morningstar Overall Rating™ 2

Global High Yield Bond

Overview

Risk Disclosure

INVESTMENT INVOLVES RISKS. The value of the Fund can be volatile and investors may not get back the amount originally invested. Past performance is not indicative of future results.

  • Templeton Global High Yield Fund invests principally in debt securities (including non-investment grade securities) of issuers globally. 
  • The Fund is subject to debt securities risk, market risk, emerging markets risk, credit risk, convertible securities risk, foreign currency risk, concentration risk, liquidity risk, valuation risk, derivative instruments risk, swap agreements risk, counterparty risk, volatility risk, credit-linked securities risk, Europe and Eurozone risk, restructuring companies risk, securitisation risk, China Bond Connect risk, Chinese market risk and securities lending risk. 
  • The Fund may at its discretion pay dividends out of the capital or out of gross income of the Fund while paying all or part of the Fund’s fees and expenses out of the capital of the Fund, which results in effectively paying dividends out of capital. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of the Fund’s capital or payment of dividends effectively out of the Fund’s capital (as the case may be) may result in an immediate reduction of the net asset value per share.
  • Investors should not invest based on this marketing material alone.  Offering documents should be read for further details, including the risk factors. Before you decide to invest, you should make sure the intermediary has explained to you that the Fund is suitable to you.

Summary of Fund Objective

To seek to generate high levels of income and, as a secondary objective, capital growth. The Fund mainly invests in below investment grade (high yield) corporate and government bonds anywhere in the world. The Fund may invest significantly in emerging markets, including Mainland China.

Fund Information
Total Net Assets  As of 31/10/2025 (Updated Monthly)
$97.55 Million
Fund Inception Date 
27/09/2007
Share Class Inception Date 
27/09/2007
Base Currency for Fund 
USD
Base Currency for Share Class 
USD
Benchmark 
Custom 50% JP Morgan Global High Yield + 50% JP Morgan EMBI Global Index
Asset Class 
Fixed Income
Investment Manager 
Franklin Advisers, Inc.
Investment Vehicle 
Franklin Templeton Investment Funds
Domicile 
Luxembourg
Minimum Investment 
USD 1000
Dividends & Yields
Distribution Frequency 
Monthly
Distribution Amount  As of 03/11/2025
$0.0430
Payable Date  As of 03/11/2025
10/11/2025
Distribution Yield3  As of 27/11/2025 (Updated Monthly)
7.99%
Charges 5
Initial Charge  As of 31/10/2025
5.00%
Ongoing Charges Figure4  As of 31/10/2025
1.77%
Identifiers
CUSIP Code 
L40592104
ISIN Code 
LU0300741062
Bloomberg Code 
TGHYAMU LX
SEDOL Code 
B24DBV6
Fund Number 
0479

The distribution share classes aim to pay dividend on monthly (Mdis / dis) / quarterly (Qdis) / yearly (Ydis) basis as respectively stated. Dividend yield is not guaranteed. The funds may at their discretion to decide on any dividend distributions and/or pay dividend out of the capital of the funds.  The Fund may at its discretion pay dividends out of the capital or out of gross income of the Fund while paying all or part of the Fund’s fees and expenses out of the capital of the Fund, which results in effectively paying dividends out of capital. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of the Fund’s capital or payment of dividends effectively out of the Fund’s capital (as the case may be) may result in an immediate reduction of the net asset value per share. Please refer to Composition of the dividend payments document for details, including the explanatory notes.

Fund Managers

Michael Hasenstab, Ph.D

California, United States

Managed Fund Since 2007

Glenn Voyles, CFA®

California, United States

Managed Fund Since 2015

Patricia O'Connor, CFA®

California, United States

Managed Fund Since 2007

Calvin Ho, Ph.D

California, United States

Managed Fund Since 2018

Performance

Portfolio

Portfolio Holdings

Dividends

The distribution share classes aim to pay dividend on monthly (Mdis / dis) / quarterly (Qdis) / yearly (Ydis) basis as respectively stated. Dividend yield is not guaranteed. The funds may at their discretion to decide on any dividend distributions and/or pay dividend out of the capital of the funds.  The Fund may at its discretion pay dividends out of the capital or out of gross income of the Fund while paying all or part of the Fund’s fees and expenses out of the capital of the Fund, which results in effectively paying dividends out of capital. Payment of dividends out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of the Fund’s capital or payment of dividends effectively out of the Fund’s capital (as the case may be) may result in an immediate reduction of the net asset value per share. Please refer to Composition of the dividend payments document for details, including the explanatory notes.

Dividends Per Share

Share Class  
A (Mdis) USD
Currency  
USD
Record Date  
31/10/2025
Ex-Distribution Date  
03/11/2025
Payable Date  
10/11/2025
NAV  
$5.66
Distribution Amount  
$0.0430
% Paid out of Net Distributable Income  
76.00%
% Paid out of Capital  
24.00%

Pricing

Pricing History Chart

As of 28/11/2025 Updated Daily

To supplement the NAV Daily % Change, please refer to Price & Performance page for the minimum performance disclosures.

Share Prices

As of 28/11/2025
NAV1 (Net Asset Value)
$5.73
NAV Change1 
$0.01
NAV Change (%)1 
0.17%
Highest / Lowest NAV
As of 28/11/2025 Updated Daily
Year 
Highest NAV
2025  
$5.73 As on 28/11/2025
2024  
$5.70 As on 07/03/2024
2023  
$5.67 As on 02/02/2023
2022  
$6.64 As on 03/01/2022
2021  
$7.06 As on 07/06/2021
2020  
$7.46 As on 08/01/2020
2019  
$7.86 As on 06/02/2019
2018  
$8.73 As on 01/02/2018
2017  
$8.92 As on 03/05/2017
2016  
$8.86 As on 25/10/2016
Year 
Lowest NAV
2025  
$5.18 As on 08/04/2025
2024  
$5.40 As on 19/12/2024
2023  
$5.21 As on 09/10/2023
2022  
$5.06 As on 24/10/2022
2021  
$6.57 As on 20/12/2021
2020  
$6.15 As on 23/03/2020
2019  
$7.31 As on 19/11/2019
2018  
$7.49 As on 26/12/2018
2017  
$8.51 As on 15/11/2017
2016  
$7.68 As on 11/02/2016

Documents

Product Literature

Product Literature

PDF Format

Fact Sheet - Templeton Global High Yield Fund (A (Mdis) USD)

PDF Format

Fact Sheet - Templeton Global High Yield Fund (A (Mdis) USD)

PDF Format

Annual Report - Franklin Templeton Investment Funds

PDF Format

Semi Annual Report - Franklin Templeton Investment Funds

PDF Format

Prospectus

PDF Format

Key Facts Statement - Templeton Global High Yield Fund

PDF Format

Composition of Dividend Payment