Franklin Templeton Global Funds plc FTGF Western Asset Asian Opportunities Fund Klasse A USD DIS (D)/  IE00B2Q1FF07  /

Fonds
NAV23/05/2024 Diferencia-0.1900 Tipo de beneficio Enfoque de la inversión Sociedad de fondos
95.4000USD -0.20% paying dividend Bonds Asia Franklin Templeton 
  • Dividendos ajustados Dividendos ajustados

Rendimiento mensual

  ene. feb. mar. abr. may. jun. jul. ago. sep. oct. nov. dic. Total
2008 - - - - - - - - -3.90 -3.93 -7.40 9.62 -
2009 -1.11 - -0.19 2.51 2.54 0.23 2.36 -0.46 0.42 3.58 1.22 -0.28 +11.24%
2010 1.44 -0.53 2.87 2.57 -3.91 1.37 2.05 1.28 3.65 0.88 -2.03 1.72 +11.68%
2011 -1.54 0.84 2.78 2.42 -0.04 0.25 2.04 0.30 -6.30 4.26 -2.72 0.62 +2.52%
2012 3.82 1.16 -1.64 0.72 -3.50 2.31 2.82 -0.51 1.93 1.86 0.69 0.38 +10.26%
2013 -0.28 0.59 -0.11 1.33 -3.00 -4.18 -0.82 -2.38 2.16 2.90 -3.08 -0.22 -7.12%
2014 -1.48 2.00 1.17 1.04 1.57 0.59 0.84 0.79 -2.73 1.39 -0.58 -1.30 +3.25%
2015 1.26 -0.04 -0.84 1.41 -1.80 -1.02 -1.82 -4.16 -0.72 3.82 -1.04 0.04 -5.01%
2016 0.00 0.99 4.97 0.89 -2.36 3.42 2.62 -0.05 0.38 -2.18 -5.88 -0.50 +1.88%
2017 2.04 1.32 1.44 0.54 1.35 0.31 1.09 1.27 -0.63 -0.26 1.44 1.13 +11.56%
2018 1.32 -2.16 0.96 -1.55 -1.37 -2.83 -0.30 -0.42 -1.05 -1.80 3.95 1.73 -3.66%
2019 1.98 0.54 1.67 -0.69 -0.04 3.23 1.22 -0.67 0.19 1.31 0.02 1.28 +10.44%
2020 0.76 -0.36 -6.76 2.77 1.31 2.03 1.77 0.52 0.18 1.04 2.10 1.53 +6.74%
2021 -0.73 -1.90 -1.86 1.22 1.02 -0.95 0.25 0.94 -1.99 -0.31 0.45 0.37 -3.50%
2022 -1.30 -0.20 -1.89 -4.13 -0.16 -2.67 0.98 -1.05 -5.24 -1.65 5.30 2.09 -9.87%
2023 4.15 -3.86 2.89 -0.09 -1.34 -0.58 2.09 -2.14 -2.18 -1.55 4.75 2.60 +4.39%
2024 -1.60 0.32 -0.15 -2.06 1.67 - - - - - - - -
Meses individuales: Dividendos no considerados

Valores estimados

  Año hasta la fecha 6 Meses Promedio móvil 3 Años 5 Años
Volatilidad 4.29% 4.86% 5.28% 5.32% 4.95%
Índice de Sharpe -1.98 -0.08 -0.67 -1.24 -0.67
El mes mejor +2.60% +4.75% +4.75% +5.30% +5.30%
El mes peor -2.06% -2.06% -2.18% -5.24% -6.76%
Pérdida máxima -3.76% -3.76% -6.62% -18.31% -20.32%
Rendimiento superior +3.87% - +3.90% +10.50% +4.20%
 
Todas las cotizaciones en USD

Tramos

Nombre   Tipo de beneficio Prec. de rescate Promedio móvil 3 Años
Franklin Templeton Global Funds ... paying dividend 95.4000 +0.29% -8.11%
Franklin Templeton Global Funds ... paying dividend 68.9500 -1.11% -10.98%
Franklin Templeton Global Funds ... reinvestment 156.7900 +0.55% +5.75%
FTGF WA Asian Op.Fd.A USD paying dividend 87.9300 +0.30% -8.20%
FTGF WA Asian Op.Fd.B USD reinvestment 146.4200 +0.05% -8.88%
FTGF WA Asian Op.Fd.Pr.GBP paying dividend 104.1400 -1.30% +4.45%
FTGF WA Asian Op.Fd.Pr.EUR paying dividend 98.3500 +0.58% +5.80%
FTGF WA Asian Op.Fd.Pr.EUR H reinvestment 108.6300 -0.87% -11.33%
FTGF WA Asian Op.Fd.A USD paying dividend 63.1300 +0.30% -8.20%
FTGF WA Asian Op.Fd.A CHF H reinvestment 84.7900 -3.70% -16.07%
FTGF WA Asian Op.Fd.X USD paying dividend 84.5300 +0.80% -6.82%
FTGF WA Asian Op.Fd.C USD paying dividend 95.4200 -0.21% -9.52%
FTGF WA Asian Op.Fd.E USD paying dividend 87.7000 -0.31% -9.78%
FTGF WA Asian Op.Fd.F USD paying dividend 87.7600 +0.69% -6.98%
FTGF WA Asian Op.Fd.F USD reinvestment 140.4100 +0.70% -7.09%
FTGF WA Asian Op.Fd.E USD reinvestment 120.9100 -0.31% -9.84%
FTGF WA Asian Op.Fd.C USD reinvestment 140.3700 -0.21% -9.57%
FTGF WA Asian Op.Fd.Pr.USD reinvestment 168.6700 +0.95% -6.39%
FTGF WA Asian Op.Fd.A SGD paying dividend 0.6920 +0.66% -6.71%
FTGF WA Asian Op.Fd.A SGD H paying dividend 0.6430 -1.44% -10.37%
FTGF WA Asian Op.Fd.A plus CNH H paying dividend 66.6700 -2.08% -9.99%
FTGF WA Asian Op.Fd.A HKD paying dividend 75.9800 -0.07% -7.73%
FTGF WA Asian Op.Fd.A SGD H reinvestment 1.3850 -1.42% -10.41%
FTGF WA Asian Op.Fd.LM USD paying dividend 88.4100 +1.56% -
FTGF WA Asian Op.Fd.LM EUR H paying dividend 81.3000 -0.20% -
FTGF WA Asian Op.Fd.LM USD reinvestment 183.8700 +1.56% -4.69%
Franklin Templeton Global Funds ... paying dividend 91.3800 +0.58% +5.79%
Franklin Templeton Global Funds ... reinvestment 222.1700 -0.08% +3.82%
Franklin Templeton Global Funds ... reinvestment 152.4500 +0.30% -8.20%
Franklin Templeton Global Funds ... paying dividend 103.8600 -0.06% +3.80%
Franklin Templeton Global Funds ... reinvestment 95.8000 -1.48% -13.04%

Performance

Año hasta la fecha
  -1.84%
6 Meses  
+1.67%
Promedio móvil  
+0.29%
3 Años
  -8.11%
5 Años  
+2.59%
10 Años  
+8.03%
Desde el principio  
+39.49%
Año
2023  
+4.39%
2022
  -9.87%
2021
  -3.50%
2020  
+6.74%
2019  
+10.44%
2018
  -3.66%
2017  
+11.56%
2016  
+1.88%
2015
  -5.01%
 

Dividendos

02/05/2024 0.21 USD
01/04/2024 0.21 USD
01/03/2024 0.22 USD
01/02/2024 0.25 USD
02/01/2024 0.25 USD
01/12/2023 0.22 USD
01/11/2023 0.20 USD
02/10/2023 0.19 USD
05/09/2023 0.25 USD
01/08/2023 0.24 USD
03/07/2023 0.25 USD
01/06/2023 0.22 USD
02/05/2023 0.21 USD
03/04/2023 0.24 USD
01/03/2023 0.20 USD
01/02/2023 0.24 USD
03/01/2023 0.26 USD
01/12/2022 0.20 USD
01/11/2022 0.19 USD
03/10/2022 0.22 USD
01/09/2022 0.20 USD
01/08/2022 0.23 USD
01/07/2022 0.21 USD
01/06/2022 0.18 USD
04/05/2022 0.22 USD
01/04/2022 0.21 USD
01/03/2022 0.08 USD
14/02/2022 0.23 USD
18/01/2022 0.20 USD
20/12/2021 0.29 USD
15/11/2021 0.21 USD
18/10/2021 0.21 USD
23/09/2021 0.25 USD
20/09/2021 0.25 USD
16/08/2021 0.21 USD
19/07/2021 0.23 USD
21/06/2021 0.27 USD
17/05/2021 0.20 USD
19/04/2021 0.20 USD
22/03/2021 0.25 USD
16/02/2021 0.20 USD
19/01/2021 0.24 USD
21/12/2020 0.27 USD
16/11/2020 0.21 USD
19/10/2020 0.21 USD
21/09/2020 0.25 USD
17/08/2020 0.23 USD
15/06/2020 0.25 USD
18/05/2020 0.25 USD
20/04/2020 0.31 USD
16/03/2020 0.24 USD
18/02/2020 0.25 USD
21/01/2020 0.32 USD
16/12/2019 0.27 USD
18/11/2019 0.27 USD
21/10/2019 0.34 USD
16/09/2019 0.27 USD
19/08/2019 0.27 USD
22/07/2019 0.35 USD
17/06/2019 0.30 USD
21/05/2019 0.36 USD
15/04/2019 0.27 USD
18/03/2019 0.27 USD
19/02/2019 0.27 USD
22/01/2019 0.32 USD
19/12/2018 0.25 USD
19/11/2018 0.29 USD
22/10/2018 0.34 USD
17/09/2018 0.27 USD
20/08/2018 0.34 USD
16/07/2018 0.27 USD
18/06/2018 0.27 USD
21/05/2018 0.35 USD
16/04/2018 0.28 USD
19/03/2018 0.28 USD
20/02/2018 0.28 USD
22/01/2018 0.34 USD
18/12/2017 0.27 USD
20/11/2017 0.36 USD
16/10/2017 0.27 USD
18/09/2017 0.26 USD
16/08/2017 0.33 USD
17/07/2017 0.26 USD
20/06/2017 0.28 USD
22/05/2017 0.33 USD
17/04/2017 0.26 USD
20/03/2017 0.32 USD
16/02/2017 0.26 USD
19/01/2017 0.25 USD
19/12/2016 0.26 USD
28/11/2016 0.33 USD
21/10/2016 0.28 USD
23/09/2016 0.22 USD
22/08/2016 0.29 USD
22/07/2016 0.23 USD
20/06/2016 0.35 USD
20/05/2016 0.27 USD
22/04/2016 0.26 USD
28/03/2016 0.32 USD
19/02/2016 0.26 USD
22/01/2016 0.24 USD
28/12/2015 0.30 USD
20/11/2015 0.22 USD
19/10/2015 0.22 USD
21/09/2015 0.23 USD
20/08/2015 0.23 USD
20/07/2015 0.31 USD
15/06/2015 0.24 USD
21/05/2015 0.25 USD
23/04/2015 0.31 USD
20/03/2015 0.27 USD
19/02/2015 0.25 USD
22/01/2015 0.25 USD
22/12/2014 0.37 USD
17/11/2014 0.27 USD
20/10/2014 0.43 USD
15/09/2014 0.28 USD
18/08/2014 0.30 USD
21/07/2014 0.32 USD
16/06/2014 0.38 USD
19/05/2014 0.22 USD
24/04/2014 0.33 USD
18/02/2014 0.20 USD
21/01/2014 0.32 USD
16/12/2013 0.24 USD
20/11/2013 0.23 USD
21/10/2013 0.28 USD
16/09/2013 0.22 USD
19/08/2013 0.22 USD
22/07/2013 0.32 USD
17/06/2013 0.23 USD
20/05/2013 0.20 USD
15/04/2013 0.20 USD
18/03/2013 0.20 USD
19/02/2013 0.21 USD
22/01/2013 0.27 USD
17/12/2012 0.22 USD
19/11/2012 0.22 USD
22/10/2012 0.28 USD
17/09/2012 0.23 USD
20/08/2012 0.01 USD
16/07/2012 0.24 USD
18/06/2012 0.23 USD
21/05/2012 0.30 USD
16/04/2012 0.25 USD
19/03/2012 0.25 USD
21/02/2012 0.30 USD
17/01/2012 0.22 USD
19/12/2011 0.20 USD
21/11/2011 0.28 USD
18/10/2011 0.22 USD
20/09/2011 0.27 USD
16/08/2011 0.21 USD
19/07/2011 0.21 USD
21/06/2011 0.27 USD
17/05/2011 0.19 USD
19/04/2011 0.29 USD
22/03/2011 0.30 USD
15/02/2011 0.21 USD
18/01/2011 0.19 USD
21/12/2010 0.28 USD
16/11/2010 0.21 USD
19/10/2010 0.23 USD
21/09/2010 0.26 USD
17/08/2010 0.24 USD
20/07/2010 0.34 USD
15/06/2010 0.30 USD
18/05/2010 0.34 USD
22/04/2010 0.41 USD