Alap: FTGFSU

Franklin Templeton - Franklin Global Fundamental Strategies Fund A(acc)USD - 11913
LU0316494557
25.10.2007
Balanced
Kiegyensúlyozott- balanced - USD
Franklin Templeton Investment Funds
Templeton Global Advisors Limited
May Tong
USD
1 000
5.75%
EIC Fund Rating (2020)
Rok Rated portolio Ref. ccy Rating category Rf (p.a.) Rm (p.a.) Return (p.a.) Correlation Beta Alpha (p.a.) Rank Stars
2020 FTGFSU USD BAL-BAL-USD 0.3675% 6.67% -0.29% 0.95 1.20 -8.25% 6/6
2019 FTGFSU USD BAL-BAL-USD 2.1319% 14.47% 11.99% 0.90 1.37 -6.99% 7/7
2018 FTGFSU USD BAL-BAL-USD 1.8344% -10.06% -10.46% 0.90 1.36 3.93% 2/7
2017 FTGFSU USD BAL-BAL-USD 1.0263% 14.99% 9.63% 0.86 1.24 -8.69% 5/5
2016 FTGFSU USD BAL-BAL-USD 0.3901% 11.69% 14.18% 0.93 1.36 -1.61% 5/7
2015 FTGFSU USD BAL-BAL-USD 0.1342% -6.66% -7.01% 0.90 1.25 2.16% 3/7
2014 FTGFSU USD BAL-BAL-USD 0.0923% -1.51% -1.25% 0.95 1.23 0.63% 3/5
15.8600
25.09.2024
-0.3769%
Rýchle porovnanie
1M 3M 6M 9M 1R 3R p.a. 5R p.a. 7R p.a. 10R p.a. od vnizku p.a.
Výkonnosť fondu 0.32% 3.12% 4.41% 10.60% 21.53% 0.32% 2.87% 1.46% 1.71% N/A
Priemerná výkonnosť (36 meraní) 0.08% 0.97% -0.26% -0.12% 0.82%
Volatilita od priemernej výkonnosti 7.18% 23.97% 4.40% 3.60% 1.53%
Rozloženie aktív
Long Short Net
Részvény 56.45% 56.45%
Kötvény 35.11% 0.01% 35.10%
Other 1.18% 1.18%
Pénz piac 20.82% 13.55% 7.26%
Veľkosť fondu
Aktíva664 mil.
Počet akcíí151
Počet dlhopisov223
Nákladovosť fondu
Priebež. popl.1.84
 z toho Mng. popl.1.50
Výk. prémia
Trans. popl.0.09
Výnosovosť fondu
Dividenda
Dividendový výnos
Rozhodný dátum
Frekvencia výplaty
Akciové portfólio
Giant 27.74%
Large 21.44%
Medium 6.31%
Small 0.91%
Micro 0.00%
P/E22.75%
P/BV3.71%
Sektorové rozloženie
Basic Materials 0.72%
Consumer Cyclical 7.51%
Financial Services 5.19%
Consumer Defensive 2.02%
Healthcare 7.14%
Utilities 0.66%
Communication Services 3.59%
Energy 1.99%
Industrials 5.44%
Technology 22.17%
Dlhopisové portfólio
Government 21.26
Corporate 12.05
Mortgage 3.19
Derivatives 6.98
Výnos do splatnosti p.a.6.96
Modifikovaná durácia4.46
Kreditné rozloženie
AAA 5.61
AA 18.42
A 7.14
BBB 31.13
BB 22.40
B 11.07
Below B 2.04
Not Rated 2.20
Regionálne rozloženie
United States 40.97%
Canada 0.71%
Latin America 0.38%
United Kingdom 5.84%
Eurozone 4.28%
Europe - ex Euro 0.66%
Europe - Emerging
Africa
Middle East 0.13%
Japan 0.82%
Australasia 0.03%
Asia - Developed 1.72%
Asia - Emerging 0.89%
Emerging Market 1.27%
Developed Country 55.18%
Not Classified
Top 10 pozícií
SpoločnosťSubsektorVáha SpoločnosťSubsektorVáha
Federal Home Loan Banks 0% 5.71% NVIDIA Corp Technology 4.02%
Microsoft Corp Technology 3.03% Amazon.com Inc Consumer Cyclical 2.84%
Alphabet Inc Class A Communication Services 2.25% Thermo Fisher Scientific Inc Healthcare 1.13%
Meta Platforms Inc Class A Communication Services 1.09% UnitedHealth Group Inc Healthcare 1.05%
United Kingdom of Great Britain and Northern Ireland 3.75% 1.05% ServiceNow Inc Technology 1.03%