View Factsheet: Factsheet PDF

Templeton Global Balanced Fund (0815)

Investment Objective

Fund ManagerThe 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
YearHighest NAVLowest NAV
YTD 201218.8517.36
201120.6416.21
201019.1415.91
200918.1811.47
200821.6712.82
200722.4720.27
200620.7817.65
200517.8716.80
200417.5614.93
200315.3710.81
Source for all information shown on this page: Franklin Templeton Investments.

Each investor’s goals are unique: we suggest you to seek guidance from a Financial Adviser. For more details on the fund potential risks, please read the simplified prospectus.

References to the Fund(s) of Franklin Templeton Investment Funds (“FTIF”) refer to the corresponding sub-fund of FTIF.

The information provided on this page does not constitute or form part of an offer for shares or an invitation to apply for shares. Subscriptions of shares in FTIF can only be made on the basis of the latest available audited annual report accompanied by the current prospectus of FTIF. No shares of FTIF may be directly or indirectly offered or sold to nationals or residents of the United States of America. Any research and analysis contained in this report has been procured by Franklin Templeton Investments for its own purposes. It is provided to you for information only.

The annual report and the prospectus of FTIF can be obtained from Franklin Templeton International Services SA, a Professional of the Financial Sector under the supervision of the Commission de Surveillance du Secteur Financier -26 boulevard Royal, L-2449 Luxembourg - Tel: (+352) 46 66 67 212 - Fax (+352) 46 66 67.

This marketing material is issued by Franklin Templeton International Services S.A., a Professional of the Financial Sector under the supervision of the Commission de Surveillance du Secteur Financier.

This site is for Luxembourg residents only, and using it means you agree to our Terms of Use, Privacy Policy, Security Policy, Cookie Policy.
For more information on the Luxembourg domiciled Franklin Templeton Funds, please contact your Financial Adviser or consult the funds Prospectus which includes important information on the investment objectives, the fees and the risks attached to the various funds. We advise you to consult the Prospectus before any investment.
Franklin Footer
Copyright © 1999 - 2012. Franklin Templeton Investments. All rights reserved.