Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR logo

Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR (FT9M)

Market Closed
31 Jul, 20:00
XFRA XFRA
16. 36
+0.13
+0.8135%
- Market Cap
- Div Yield
0 Volume
16.23
Previous Close
Add Transaction
Day Range
16.36 16.36
Year Range
15.55 16.83
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Summary

FT9M closed Friday higher at €16.36, an increase of 0.8135% from Thursday's close, completing a monthly increase of 0.8197% or €0.13. Over the past 12 months, FT9M stock gained 1.4826%.
FT9M is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on 5 different exchanges and in various currencies, with the primary listing on XFRA (EUR).

FT9M Chart

Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR (FT9M) FAQ

What is the stock price today?

The current price is €16.36.

On which exchange is it traded?

Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR is listed on XFRA.

What is its stock symbol?

The ticker symbol is FT9M.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR ever had a stock split?

No, there has never been a stock split.

Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR Profile

XFRA Exchange
Germany Country

Overview

Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR is a mutual fund crafted to cater to investors aiming for income through exposure to the global bond markets. It is meticulously managed by Franklin Templeton, leveraging a diversified portfolio strategy that spans fixed-income securities, including both government and corporate bonds. Central to its mission, the fund prioritizes capital preservation and growth, with a keen focus on strategic allocation across different regions and sectors. This strategy not only ensures broad geographic diversification but also facilitates investment in bonds denominated in various currencies. Such an approach is designed to harness opportunities arising from different interest rate environments and currency movements. Particularly, the accumulation class feature of the fund allows the re-investment of income earned from bonds back into the fund, which is intended to amplify the total return over an extended period. Targeting investors who are in pursuit of a euro-denominated vehicle for accessing global bond markets, this fund presents an attractive proposition for achieving risk diversification and possibly securing higher yields than those offered by domestic-only funds. It stands as a significant component for investors seeking stability and diversification within their fixed-income portfolios.

Products and Services

  • Global Bond Exposure
  • The primary offer of Franklin Templeton Investment Funds - Global Bond Fund A (Acc) EUR is its exposure to a broad range of global bond markets. This product caters to investors looking to diversify their portfolios beyond domestic markets into a more globally oriented fixed-income portfolio. By including both government and corporate bonds from various geographical regions, the fund aims to spread risk and tap into different economic cycles and interest rate environments globally.

  • Diversified Portfolio of Fixed-Income Securities
  • A key service provided by the fund is diversification through a meticulously curated portfolio of fixed-income securities. Franklin Templeton’s management focuses on assembling a blend of government and corporate bonds that span various sectors and regions. This approach not only aims to mitigate risk through diversification but also seeks to capitalize on opportunities across different bond markets.

  • Strategic Allocation Across Regions and Sectors
  • The fund’s strategic allocation across different regions and sectors underpins its primary objective of capital preservation and growth. By employing a dynamic strategy that adapts to changing market conditions, the fund endeavors to optimize returns for its investors. This is achieved through a careful selection of bonds, aiming to balance between offering exposure to regions with high-growth potential and those that provide stability and consistent returns.

  • Currency Diversification
  • Investing in bonds denominated in various currencies is another hallmark of the fund, aiming to leverage opportunities arising from currency fluctuations and differential interest rate environments. This facet of the fund’s strategy is particularly beneficial for investors seeking to maximize returns through currency gains, in addition to the income generated from the bond investments themselves.

  • Accumulation Class for Enhanced Returns
  • Unique to this fund is its accumulation class feature, where the income earned from the investments, rather than being distributed, is reinvested into the fund. This mechanism is designed with long-term growth in mind, aiming to compound returns over time. It is particularly attractive for investors who are not in immediate need of income distribution and prefer to see their investment grow.

Contact Information

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