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Mutual Funds

For the current web notices/SFDR pre-contractual disclosures in relation to our fund offerings, please refer to here.

ACC = Accumulating share class. Net investment income accumulated daily into NAV. DIS (M) / DIS (S) / DIS (A): the share class aims to declare and pay dividend on a monthly / semi-annual / annual basis. For DIS (D) class: the share class aims to declare dividend daily and pay out on a monthly basis. The distribution share classes aim to pay dividend on monthly (Mdis / dis) / quarterly (Qdis) / yearly (Ydis) basis as respectively stated. Dividend amount is not guaranteed. For Franklin Sealand China Prospect Mixed Assets Fund, dividends, if any, will be distributed at such times at the discretion of the Fund Manager, for up to 4 times a year. Dividend yield is not guaranteed.

Please click the fund name for important fund information and details including change(s) in the operations of the fund.

Performance

Show Performance (%)
As of 31/10/2025
Currency 
USD

As of 26/11/2025

NAV1 
$60.24
NAV Change1 
0.00%

$0.59

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
38.62
2024 
2.64
2023 
17.29
2022 
-12.51
2021 
-17.36
2020 
27.52
Performance Inception Date 
03/04/2000
Currency 
USD

As of 26/11/2025

NAV1 
$10.32
NAV Change1 

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2024 
2023 
2022 
2021 
2020 
Performance Inception Date 
22/07/2025
Currency 
EUR

As of 26/11/2025

NAV1 
€9.68
NAV Change1 
0.00%

€0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
-0.03
2024 
1.23
2023 
5.86
2022 
-16.56
2021 
-4.81
2020 
6.12
Performance Inception Date 
08/01/1999
Currency 
EUR

As of 26/11/2025

NAV1 
€5.23
NAV Change1 
0.19%

€0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.43
2024 
7.24
2023 
10.83
2022 
-10.37
2021 
1.70
2020 
1.14
Performance Inception Date 
17/04/2000
Currency 
USD

As of 26/11/2025

NAV1 
$6.71
NAV Change1 
0.00%

$0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.09
2024 
7.22
2023 
15.02
2022 
-2.12
2021 
7.67
2020 
-5.77
Performance Inception Date 
15/10/2002
Currency 
USD

As of 26/11/2025

NAV1 
$27.33
NAV Change1 
0.00%

$0.23

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
13.68
2024 
12.15
2023 
7.25
2022 
-14.83
2021 
2.27
2020 
38.74
Performance Inception Date 
24/02/2012
Currency 
USD

As of 26/11/2025

NAV1 
$10.45
NAV Change1 
0.00%

$0.05

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
11.86
2024 
3.82
2023 
7.28
2022 
-9.60
2021 
9.24
2020 
11.48
Performance Inception Date 
18/06/2020
Currency 
USD

As of 26/11/2025

NAV1 
$10.00
NAV Change1 
0.00%

$0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2024 
2023 
2022 
2021 
2020 
Performance Inception Date 
07/01/2025
Currency 
USD

As of 26/11/2025

NAV1 
$8.90
NAV Change1 
0.00%

$0.07

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.14
2024 
-1.56
2023 
10.00
2022 
-26.83
2021 
26.11
2020 
-7.46
Performance Inception Date 
29/12/2005
Currency 
USD

As of 26/11/2025

NAV1 
$16.81
NAV Change1 
0.00%

$0.63

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
130.06
2024 
16.34
2023 
1.25
2022 
-22.70
2021 
-5.09
2020 
39.53
Performance Inception Date 
30/04/2010
Currency 
USD

As of 26/11/2025

NAV1 
$5.30
NAV Change1 
0.00%

$0.02

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.90
2024 
7.43
2023 
12.52
2022 
-10.42
2021 
3.47
2020 
6.08
Performance Inception Date 
01/03/1996
Currency 
USD

As of 26/11/2025

NAV1 
$9.76
NAV Change1 
0.00%

$0.04

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
8.74
2024 
6.01
2023 
7.01
2022 
-7.33
2021 
13.88
2020 
1.26
Performance Inception Date 
01/07/1999
Currency 
USD

As of 26/11/2025

NAV1 
$68.14
NAV Change1 
0.00%

$0.58

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
-3.08
2024 
14.76
2023 
26.88
2022 
-11.55
2021 
25.55
2020 
12.92
Performance Inception Date 
25/10/2005
Currency 
USD

As of 26/11/2025

NAV1 
$24.04
NAV Change1 
0.00%

$0.21

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
23.53
2024 
30.03
2023 
42.39
2022 
-40.93
2021 
10.59
2020 
58.54
Performance Inception Date 
08/11/2019
Currency 
USD

As of 26/11/2025

NAV1 
$10.54
NAV Change1 
0.00%

$-0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
8.19
2024 
3.80
2023 
16.82
2022 
-9.13
2021 
32.30
2020 
-0.70
Performance Inception Date 
16/06/2008
Currency 
EUR

As of 26/11/2025

NAV1 
€38.72
NAV Change1 
0.16%

€0.06

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
16.57
2024 
9.54
2023 
12.92
2022 
-3.35
2021 
18.76
2020 
-12.45
Performance Inception Date 
31/12/2001
Currency 
USD

As of 26/11/2025

NAV1 
$31.06
NAV Change1 
0.00%

$0.18

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
16.92
2024 
1.59
2023 
18.97
2022 
-8.14
2021 
17.90
2020 
-5.39
Performance Inception Date 
25/10/2005
Currency 
USD

As of 26/11/2025

NAV1 
$119.06
NAV Change1 
0.00%

$0.53

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.79
2024 
9.71
2023 
11.97
2022 
-9.85
2021 
19.76
2020 
-6.46
Performance Inception Date 
07/07/1997
Currency 
USD

As of 26/11/2025

NAV1 
$9.90
NAV Change1 
0.00%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
18.86
2024 
0.12
2023 
1.77
2022 
29.04
2021 
35.02
2020 
-22.26
Performance Inception Date 
12/07/2007
Currency 
USD

As of 26/11/2025

NAV1 
$18.23
NAV Change1 
0.00%

$0.10

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
11.80
2024 
8.35
2023 
14.39
2022 
-16.82
2021 
9.15
2020 
10.07
Performance Inception Date 
05/02/2016
Currency 
USD

As of 26/11/2025

NAV1 
$10.22
NAV Change1 

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2024 
2023 
2022 
2021 
2020 
Performance Inception Date 
22/07/2025
Currency 
USD

As of 26/11/2025

NAV1 
$9.10
NAV Change1 
0.00%

$-0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
20.15
2024 
0.00
2023 
-21.10
2022 
2021 
2020 
Performance Inception Date 
13/04/2023
Currency 
CNH

As of 26/11/2025

NAV1 
CNH1.36
NAV Change1 
0.52%

CNH0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
15.13
2024 
-0.57
2023 
-19.06
2022 
-16.70
2021 
15.03
2020 
64.64
Performance Inception Date 
07/04/2016
Currency 
HKD

As of 26/11/2025

NAV1 
$8.01
NAV Change1 
0.00%

$0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.69
2024 
1.04
2023 
6.51
2022 
-10.28
2021 
-2.08
2020 
Performance Inception Date 
13/08/2021
Currency 
USD

As of 26/11/2025

NAV1 
$8.10
NAV Change1 
0.00%

$0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
5.76
2024 
4.00
2023 
7.99
2022 
-11.81
2021 
1.02
2020 
3.80
Performance Inception Date 
12/07/2007
Currency 
USD

As of 26/11/2025

NAV1 
$60.36
NAV Change1 
0.00%

$0.71

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
25.67
2024 
25.91
2023 
52.69
2022 
-44.39
2021 
23.17
2020 
61.25
Performance Inception Date 
03/04/2000
Currency 
USD

As of 26/11/2025

NAV1 
$10.14
NAV Change1 
-0.20%

$-0.02

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
18.75
2024 
8.02
2023 
8.82
2022 
-11.97
2021 
-2.04
2020 
Performance Inception Date 
13/08/2021
Currency 
USD

As of 26/11/2025

NAV1 
$7.27
NAV Change1 
0.00%

$0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.62
2024 
0.06
2023 
3.58
2022 
-10.58
2021 
-2.72
2020 
2.81
Performance Inception Date 
28/02/1991
Currency 
USD

As of 26/11/2025

NAV1 
$37.65
NAV Change1 
0.00%

$0.32

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
10.13
2024 
24.46
2023 
38.23
2022 
-37.14
2021 
16.53
2020 
42.66
Performance Inception Date 
03/04/2000
Currency 
USD

As of 26/11/2025

NAV1 
$85.98
NAV Change1 
0.21%

$0.18

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.20
2024 
-5.86
2023 
4.04
2022 
-16.48
2021 
-7.91
2020 
5.05
Performance Inception Date 
01/10/2003
Currency 
USD

As of 26/11/2025

NAV1 
$148.69
NAV Change1 
0.20%

$0.30

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
7.03
2024 
1.47
2023 
7.22
2022 
-14.59
2021 
0.24
2020 
14.22
Performance Inception Date 
30/08/2013
Currency 
USD

As of 26/11/2025

NAV1 
$220.35
NAV Change1 
0.87%

$1.89

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
19.12
2024 
18.23
2023 
21.46
2022 
-23.50
2021 
11.23
2020 
31.73
Performance Inception Date 
29/06/2018
Currency 
HKD

As of 26/11/2025

NAV1 
$102.11
NAV Change1 
1.03%

$1.04

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
21.32
2024 
0.04
2023 
2.02
2022 
-7.40
2021 
9.89
2020 
Performance Inception Date 
01/07/2021
Currency 
USD

As of 26/11/2025

NAV1 
$189.46
NAV Change1 
0.90%

$1.69

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2.41
2024 
17.72
2023 
13.76
2022 
-15.59
2021 
22.64
2020 
0.93
Performance Inception Date 
13/08/2013
Currency 
USD

As of 26/11/2025

NAV1 
$313.02
NAV Change1 
0.64%

$1.99

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
10.68
2024 
13.18
2023 
15.16
2022 
-22.37
2021 
22.77
2020 
30.19
Performance Inception Date 
30/09/2015
Currency 
USD

As of 26/11/2025

NAV1 
$641.33
NAV Change1 
0.58%

$3.73

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
10.29
2024 
25.69
2023 
42.52
2022 
-32.88
2021 
20.78
2020 
30.67
Performance Inception Date 
18/02/1999
Currency 
USD

As of 26/11/2025

NAV1 
$420.35
NAV Change1 
0.85%

$3.54

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.79
2024 
13.77
2023 
16.71
2022 
-8.00
2021 
25.86
2020 
11.26
Performance Inception Date 
23/03/1998

FTGF Putnam Global Healthcare Fund - A USD ACC

Currency 
USD

As of 26/11/2025

NAV1 
$120.03
NAV Change1 

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2024 
2023 
2022 
2021 
2020 
Performance Inception Date 
30/05/2025
Currency 
USD

As of 26/11/2025

NAV1 
$479.76
NAV Change1 
0.83%

$3.97

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
19.46
2024 
21.09
2023 
18.91
2022 
-16.05
2021 
21.79
2020 
12.69
Performance Inception Date 
20/04/2007
Currency 
USD

As of 26/11/2025

NAV1 
$1,085.03
NAV Change1 
0.87%

$9.39

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
11.19
2024 
9.43
2023 
18.24
2022 
-17.74
2021 
28.54
2020 
24.72
Performance Inception Date 
08/11/2002
Currency 
USD

As of 26/11/2025

NAV1 
$459.64
NAV Change1 
0.18%

$0.84

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
1.67
2024 
1.74
2023 
20.03
2022 
-15.45
2021 
23.47
2020 
9.97
Performance Inception Date 
01/03/2004
Currency 
USD

As of 26/11/2025

NAV1 
$166.51
NAV Change1 
0.10%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
5.68
2024 
1.56
2023 
4.37
2022 
-9.70
2021 
-3.72
2020 
7.00
Performance Inception Date 
02/07/2008
Currency 
USD

As of 26/11/2025

NAV1 
$205.60
NAV Change1 
0.20%

$0.42

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
8.53
2024 
7.43
2023 
9.17
2022 
-15.03
2021 
0.94
2020 
6.21
Performance Inception Date 
20/04/2007
Currency 
USD

As of 26/11/2025

NAV1 
$180.10
NAV Change1 
0.09%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
5.85
2024 
3.36
2023 
7.36
2022 
-11.73
2021 
-1.12
2020 
5.63
Performance Inception Date 
09/05/2007
Currency 
USD

As of 26/11/2025

NAV1 
$139.08
NAV Change1 
0.06%

$0.09

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.57
2024 
3.90
2023 
6.03
2022 
-6.67
2021 
-1.55
2020 
3.95
Performance Inception Date 
25/06/2009
Currency 
USD

As of 26/11/2025

NAV1 
$144.59
NAV Change1 
0.12%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
7.00
2024 
0.36
2023 
5.95
2022 
-16.69
2021 
-2.70
2020 
8.08
Performance Inception Date 
09/05/2007
Currency 
USD

As of 26/11/2025

NAV1 
$157.39
NAV Change1 
0.11%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.13
2024 
-1.56
2023 
6.18
2022 
-18.10
2021 
-2.56
2020 
7.99
Performance Inception Date 
20/04/2007
Currency 
USD

As of 26/11/2025

NAV1 
$70.98
NAV Change1 
0.20%

$0.14

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
8.10
2024 
7.60
2023 
11.28
2022 
-13.84
2021 
4.76
2020 
6.55
Performance Inception Date 
27/02/2004
Currency 
USD

As of 26/11/2025

NAV1 
$7.28
NAV Change1 
0.00%

$-0.01

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
4.26
2024 
-4.58
2023 
1.37
2022 
-7.21
2021 
-3.83
2020 
0.13
Performance Inception Date 
25/10/2005
Currency 
USD

As of 26/11/2025

NAV1 
$41.40
NAV Change1 
0.00%

$0.40

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
25.22
2024 
11.34
2023 
2.21
2022 
-23.63
2021 
-9.53
2020 
23.87
Performance Inception Date 
30/06/1991
Currency 
USD

As of 26/11/2025

NAV1 
$68.74
NAV Change1 
0.00%

$0.34

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
6.55
2024 
11.62
2023 
12.96
2022 
-20.62
2021 
27.15
2020 
11.60
Performance Inception Date 
14/10/2008
Currency 
USD

As of 26/11/2025

NAV1 
$26.82
NAV Change1 
0.00%

$0.17

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
35.07
2024 
14.66
2023 
3.55
2022 
-22.83
2021 
-5.02
2020 
10.42
Performance Inception Date 
25/10/2005
Currency 
USD

As of 26/11/2025

NAV1 
$25.60
NAV Change1 
0.00%

$0.05

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
32.07
2024 
11.65
2023 
-22.08
2022 
-30.61
2021 
-22.25
2020 
36.69
Performance Inception Date 
01/09/1994
Currency 
USD

As of 26/11/2025

NAV1 
$13.32
NAV Change1 
-0.30%

$-0.04

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
20.56
2024 
2.76
2023 
-24.42
2022 
-29.67
2021 
-5.71
2020 
42.49
Performance Inception Date 
30/11/2012

Important information about the Fund

Currency 
EUR

As of 26/11/2025

NAV1 
€18.67
NAV Change1 
-0.16%

€-0.03

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
22.74
2024 
13.65
2023 
35.68
2022 
-68.55
2021 
32.59
2020 
-15.33
Performance Inception Date 
10/11/1997

Templeton Eastern Europe Fund - A (acc) EUR RC

This share class is closed to subscriptions, redemptions and switches.

Currency 
EUR

As of 26/11/2025

NAV1 
€0.16
NAV Change1 
0.00%

€0.00

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
2024 
2023 
2022 
2021 
2020 
Performance Inception Date 
11/11/2022
Currency 
USD

As of 26/11/2025

NAV1 
$7.51
NAV Change1 
0.00%

$0.04

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
22.51
2024 
1.84
2023 
13.11
2022 
-15.88
2021 
-6.86
2020 
-6.51
Performance Inception Date 
05/07/1991
Currency 
USD

As of 26/11/2025

NAV1 
$7.43
NAV Change1 
0.00%

$0.06

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
31.87
2024 
3.91
2023 
12.74
2022 
-17.67
2021 
-5.71
2020 
7.72
Performance Inception Date 
29/04/2011
Currency 
USD

As of 26/11/2025

NAV1 
$58.29
NAV Change1 
0.00%

$0.60

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
42.74
2024 
5.92
2023 
12.15
2022 
-21.84
2021 
-6.26
2020 
16.51
Performance Inception Date 
28/02/1991
Currency 
USD

As of 26/11/2025

NAV1 
$16.69
NAV Change1 
0.00%

$0.10

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
9.39
2024 
7.33
2023 
13.16
2022 
-19.10
2021 
22.15
2020 
11.81
Performance Inception Date 
18/10/2007
Currency 
EUR

As of 26/11/2025

NAV1 
€34.21
NAV Change1 
0.83%

€0.28

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
20.03
2024 
14.60
2023 
19.81
2022 
-12.52
2021 
8.44
2020 
-9.54
Performance Inception Date 
08/01/1999

Templeton European Small-Mid Cap Fund - A (acc) EUR

Important Fund Information

Currency 
EUR

As of 26/11/2025

NAV1 
€50.74
NAV Change1 
1.60%

€0.80

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
19.61
2024 
3.87
2023 
15.93
2022 
-9.43
2021 
19.09
2020 
-19.65
Performance Inception Date 
03/12/2001
Currency 
USD

As of 26/11/2025

NAV1 
$28.45
NAV Change1 
0.00%

$0.15

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
13.70
2024 
21.28
2023 
16.49
2022 
-19.50
2021 
25.00
2020 
-1.33
Performance Inception Date 
14/10/2008
Currency 
USD

As of 26/11/2025

NAV1 
$10.87
NAV Change1 
0.00%

$0.03

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
15.69
2024 
-11.83
2023 
1.93
2022 
-4.42
2021 
-4.87
2020 
-3.74
Performance Inception Date 
28/02/1991
Currency 
EUR

As of 26/11/2025

NAV1 
€33.69
NAV Change1 
0.06%

€0.02

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
14.29
2024 
-2.81
2023 
15.01
2022 
-8.36
2021 
13.42
2020 
17.98
Performance Inception Date 
26/04/1991
Currency 
USD

As of 26/11/2025

NAV1 
$45.52
NAV Change1 
0.00%

$0.38

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
15.12
2024 
2.80
2023 
18.15
2022 
-18.06
2021 
3.29
2020 
6.42
Performance Inception Date 
28/02/1991
Currency 
USD

As of 26/11/2025

NAV1 
$5.72
NAV Change1 
0.00%

$0.02

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
13.29
2024 
4.01
2023 
12.97
2022 
-12.79
2021 
0.63
2020 
0.90
Performance Inception Date 
27/09/2007
Currency 
USD

As of 26/11/2025

NAV1 
$11.39
NAV Change1 
0.00%

$0.08

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
22.46
2024 
1.79
2023 
11.91
2022 
-13.75
2021 
-1.66
2020 
1.15
Performance Inception Date 
27/05/2005
Currency 
USD

As of 26/11/2025

NAV1 
$12.30
NAV Change1 
0.00%

$0.09

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
21.32
2024 
14.01
2023 
13.30
2022 
-11.97
2021 
8.24
2020 
0.77
Performance Inception Date 
27/05/2005
Currency 
USD

As of 26/11/2025

NAV1 
$51.63
NAV Change1 
0.00%

$0.36

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
8.44
2024 
-0.43
2023 
16.04
2022 
-24.01
2021 
13.52
2020 
13.62
Performance Inception Date 
08/07/1991
Currency 
USD

As of 26/11/2025

NAV1 
$7.77
NAV Change1 
0.00%

$0.03

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
16.56
2024 
-6.88
2023 
5.25
2022 
-11.79
2021 
-5.18
2020 
-6.55
Performance Inception Date 
29/08/2003
Currency 
USD

As of 26/11/2025

NAV1 
$26.72
NAV Change1 
0.00%

$0.21

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
18.45
2024 
2.62
2023 
14.90
2022 
-11.70
2021 
5.75
2020 
6.32
Performance Inception Date 
01/06/1994

Effective 21 May 2025, the Franklin Japan Fund changed its name to the Templeton Japan Fund.

Currency 
JPY

As of 26/11/2025

NAV1 
¥2,177.63
NAV Change1 
0.00%

¥44.98

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
31.94
2024 
28.94
2023 
21.34
2022 
-1.73
2021 
10.56
2020 
10.21
Performance Inception Date 
01/09/2000
Currency 
USD

As of 26/11/2025

NAV1 
$55.36
NAV Change1 
0.00%

$1.07

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
40.33
2024 
-26.92
2023 
28.85
2022 
7.10
2021 
-14.62
2020 
-13.42
Performance Inception Date 
28/02/1991
Currency 
USD

As of 26/11/2025

NAV1 
$14.17
NAV Change1 
-0.21%

$-0.03

[products.perf-view-header-calendar-year-NET]
As of 31/10/2025

YTD 
31.41
2024 
11.46
2023 
12.56
2022 
-12.32
2021 
-1.00
2020 
Performance Inception Date 
13/08/2021

Fund Identifiers

Ratings