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View Factsheet:  Templeton Global Balanced Fund (0815)Investment Objective The Fund seeks capital appreciation and current income by investing principally in equity securities and government debt securities issued by entities throughout the world, including emerging markets. The portfolio manager anticipates that the majority of the Fund's portfolio is normally invested in equity or equity- linked securities.
Fund Manager: Peter Wilmshurst / Melbourne, Australia, Michael Hasenstab / San Mateo, California | Fund Base Currency: | US Dollar | | Fund Launch Date: | 1 June 1994 | | Share Class: | A(Qdis)USD | | Share Class Number: | 0815 | | Management fees (annual): | 1.30% | | Entry fees (max.): | 3.00% | | NAV (3 February 2012): | USD 18.85 |
Highest/Lowest NAV in Base Currency| Year | Highest NAV | Lowest NAV |
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| YTD 2012 | 18.85 | 17.36 | | 2011 | 20.64 | 16.21 | | 2010 | 19.14 | 15.91 | | 2009 | 18.18 | 11.47 | | 2008 | 21.67 | 12.82 | | 2007 | 22.47 | 20.27 | | 2006 | 20.78 | 17.65 | | 2005 | 17.87 | 16.80 | | 2004 | 17.56 | 14.93 | | 2003 | 15.37 | 10.81 |
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