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Cumulative Performance
Calendar Year Performance
Factual Information
Name
Last
NAV
Valuation
Date
Sharpe
Ratio
Cumulative Performance
Annual Volatility
(3 Years) (%)
Compare
1 M
3 M
6 M
YTD
1 Yr
3 Yr
5 Yr
Launch
Franklin Biotechnology Discovery Fund (USD) A(acc) 41.84 2024/11/27 N/A -5.51% -6.50% +3.67% +9.41% +34.45% +11.72% +22.63% +318.40% 19.01%
Franklin Euro High Yield Fund 5.21 2024/11/27 N/A 0.00% +0.39% +1.36% +1.17% +3.78% -8.60% -13.02% N/A 5.89%
Franklin Euro Liquid Reserve Fund 4.34 2016/07/22 N/A 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% N/A 0.00%
Franklin Floating Rate Fund plc (USD) A (Mdis) 6.92 2024/11/27 N/A +0.78% +0.48% -0.52% -2.12% -1.28% -4.11% -11.75% -26.62% 3.28%
Franklin Global Growth Fund - A (acc) USD 31.00 2024/11/27 N/A +3.26% +3.40% +10.64% +7.34% +16.54% -8.12% +26.38% N/A 17.38%
Franklin Global Real Estate Fund (USD) A (acc) 13.96 2024/11/27 N/A +0.43% +0.07% +12.76% +6.56% +16.72% -10.23% -0.57% +39.60% 17.81%
Franklin Gold and Precious Metals Fund (USD) A (acc) 7.17 2024/11/27 N/A -11.26% +0.56% +6.54% +26.01% +29.89% +0.84% +48.45% -27.94% 26.79%
Franklin High Yield Fund (USD) A(Mdis) 5.28 2024/11/27 N/A -0.19% -0.75% +1.73% +0.96% +4.76% -8.65% -10.51% -47.20% 6.68%
Franklin Income Fund (USD) A(Mdis) 9.92 2024/11/27 N/A -0.40% -1.00% +2.16% +0.81% +4.86% -11.74% -11.11% -0.80% 8.17%
Franklin India Fund (USD) A (acc) 71.90 2024/11/27 N/A +1.51% -0.37% +9.40% +17.70% +26.45% +34.92% +89.06% +619.00% 11.05%
Franklin MENA Fund (USD) A(acc) 10.38 2024/11/27 N/A 0.00% +0.87% +9.26% +3.80% +8.69% +11.97% +49.14% +3.80% 10.95%
Franklin Mutual Beacon Fund (USD) A (acc) 120.42 2024/11/27 N/A +5.63% +8.00% +15.47% +18.63% +26.92% +22.06% +37.25% +1,104.20% 14.39%
Franklin Mutual European Fund (EUR) A (acc) 32.44 2024/11/27 N/A -3.42% -1.79% -0.52% +9.48% +14.23% +25.40% +25.93% N/A 10.69%
Franklin Mutual European Fund (USD) A (acc) 34.00 2024/11/27 N/A -6.39% -7.93% -3.98% +3.98% +8.97% +16.08% +19.93% +240.00% 14.54%
Franklin Natural Resources Fund (USD) A (acc) 8.72 2024/11/27 N/A +2.71% +2.47% -1.25% +8.32% +10.94% +44.13% +63.60% -12.80% 18.51%
Franklin Templeton Japan Fund (JPY) A (acc) 10.19 2024/11/27 N/A +2.10% -3.32% +3.14% +13.35% +15.93% +9.69% +27.06% N/A 14.76%
Franklin U.S. Dollar Short-Term Money Market Fund (USD) A (MDIS) 9.82 2024/11/27 N/A -0.10% -0.10% -0.10% -0.10% -0.10% +0.51% +0.20% N/A 0.44%
Templeton Asian Smaller Companies Fund (USD) A 64.09 2024/11/27 N/A -2.84% -3.51% +2.97% +11.07% +15.42% +1.67% +42.61% N/A 12.99%
Templeton Emerging Markets Bond Fund (USD) A (Qdis) 6.77 2024/11/27 0.00 -1.02% -4.24% -5.31% -4.78% -0.73% -22.27% -41.03% -32.30% 11.16%
Templeton Emerging Markets Dynamic Income Fund 10.62 2024/11/27 N/A -2.48% -0.28% +1.63% +6.63% +10.17% -0.09% +5.46% N/A 12.36%
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