Franklin Templeton Investment Funds Templeton Frontier Markets Fund Klasse Z (Ydis) EUR-H1
LU0496363424
Franklin Templeton Investment Funds Templeton Frontier Markets Fund Klasse Z (Ydis) EUR-H1/ LU0496363424 /
NAV 17.06.2024
Diff.0,0000
Ertragstyp
Ausrichtung
Fondsgesellschaft
10,8200 EUR
0,00%
ausschüttend
Aktien
Emerging Markets
Franklin Templeton ▶
Kennzahlen und Performance in:
Alle Kurse in EUR
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Franklin Templeton Investment Fu...
thesaurierend
22,0600
+25,99%
+20,48%
Franklin Templeton Investment Fu...
ausschüttend
29,2100
+25,78%
+31,18%
Franklin Templeton Investment Fu...
thesaurierend
20,6100
+24,31%
+17,64%
Franklin Templeton Investment Fu...
ausschüttend
29,6000
+27,10%
+35,31%
Franklin Templeton Investment Fu...
thesaurierend
20,4200
+27,86%
-
Franklin Templeton Investment Fu...
thesaurierend
21,2100
+26,25%
-
Franklin Templeton Investment Fu...
thesaurierend
22,2800
+27,02%
-
Franklin Templeton Investment Fu...
thesaurierend
14,9500
+25,10%
+20,66%
Franklin Templeton Investment Fu...
thesaurierend
35,8900
+28,59%
+37,14%
Franklin Templeton Investment Fu...
thesaurierend
28,2700
+26,37%
+23,67%
Franklin Templeton Investment Fu...
thesaurierend
18,0800
+28,50%
+36,87%
Franklin Templeton Investment Fu...
ausschüttend
10,8200
+23,62%
+13,76%
Temp.Frontier Markets Fd.W USD
thesaurierend
18,8800
+26,20%
+23,32%
Franklin Templeton Investment Fu...
thesaurierend
28,0600
+26,57%
+30,75%
Franklin Templeton Investment Fu...
thesaurierend
17,2900
+22,10%
+10,20%
Franklin Templeton Investment Fu...
thesaurierend
11,8900
+22,83%
+11,96%
Franklin Templeton Investment Fu...
thesaurierend
30,3400
+27,16%
+32,72%
Franklin Templeton Investment Fu...
ausschüttend
21,1800
+25,00%
+19,75%
Franklin Templeton Investment Fu...
thesaurierend
23,8600
+24,99%
+19,66%
Performance
lfd. Jahr
+14,50%
6 Monate
+17,86%
1 Jahr
+23,62%
3 Jahre
+13,76%
5 Jahre
+21,21%
10 Jahre
+3,21%
seit Beginn
+3,21%
Jahr
2023
+14,53%
2022
-21,77%
2021
+24,32%
2020
-2,25%
2019
+3,99%
2018
-21,43%
2017
+18,84%
2016
+7,82%
2015
-14,62%
Ausschüttungen
03.07.2023
0,15 EUR
01.07.2022
0,00 EUR
01.07.2021
0,05 EUR
01.07.2019
0,12 EUR
02.07.2018
0,12 EUR
03.07.2017
0,12 EUR
01.07.2016
0,23 EUR
01.07.2015
0,14 EUR
01.07.2014
0,19 EUR