Emerging Markets Equity. Franklin Templeton Investment Funds Templeton Asian Growth Fund - A (acc) USD. Data as of 30 September 2018

Size: px
Start display at page:

Download "Emerging Markets Equity. Franklin Templeton Investment Funds Templeton Asian Growth Fund - A (acc) USD. Data as of 30 September 2018"

Transcription

1 Emerging Markets Equity Data as of 30 September 2018 Franklin Templeton Investment Funds - A (acc) USD

2 Table of Contents Investment Capabilities Overview...3 Franklin Templeton Investments A Trusted, Long-Term Partner in Investment Management...4 Franklin Templeton Emerging Markets Equity (Public and Private Equity) Global...5 Offices Franklin Templeton Emerging Markets Equity...6 Franklin Templeton Emerging Markets Equity Research Coverage (Public Equity)... 7 Templeton s Investment Philosophy...8 Templeton s Investment Process...9 Summary...15 What are the Key Risks?...16 Sector Allocation...17 Geographic Allocation...18 Top Ten Holdings...19 Portfolio Characteristics...20 Discrete Performance Historical Performance...22 Calendar Year Returns Performance Risk Statistics Management Profile...25 Glossary...27 Important Disclosures

3 Investment Capabilities Overview 2 Equity FRANKLIN TEMPLETON INVESTMENTS Total Combined Assets Under Management : US$717.1 Billion 5 Fixed Income 8 Multi-Asset Solutions 11 Alternatives AUM US$316.9 Billion US$267.9 Billion US$122.0 Billion US$16.7 Billion CAPABILITIES Value Government Multi-Asset Income Commodities Deep Value Municipals Diversified Outcome-Oriented Infrastructure Core Value Corporate Credit Risk Premia Real Estate Blend Bank Loans Smart Beta Hedge Funds GARP Securitised Balanced Allocation Private Equity Growth Multi-Sector Target Date/Risk Convertibles Currencies Model Portfolios Sector Sukuk Inflation Protection Shariah Managed Volatility Smart Beta INVESTMENT Templeton Global Equity Group (1940) Franklin Templeton Fixed Income Group (1970) Franklin Templeton Multi-Asset Solutions (1948) Franklin Real Asset Advisors (1984) TEAMS Franklin Equity Group (1947) Templeton Global Macro (1986) Franklin Systematic (2011) Darby Overseas Investments (1994) Franklin Mutual Series (1949) Franklin LAM-Fixed Income (1993) K2 Advisors (1994) Franklin Templeton Emerging Markets Equity Pelagos Capital Management (2005) (1987) Source: Franklin Templeton Investments (FTI), as of 30 September 2018, based on latest available data. Total combined Assets Under Management (Total AUM) combines U.S. and non-u.s. AUM of the investment management subsidiaries of the parent company, Franklin Resources, Inc. (FRI) [NYSE: BEN], a global investment management organisation operating as FTI. Only selected business entities within FTI claim compliance with the GIPS standards as described in the table of contents if applicable. Total and platform AUM includes discretionary and non-discretionary accounts, including pooled investment vehicles, separate accounts and other vehicles. Total and platform AUM may also include advisory accounts with or without trading authority. In addition, assets for which certain FTI advisers provide limited asset allocation advisory services, and assets that are not allocated to FTI products are not included in the AUM figures shown. Franklin Templeton Multi-Asset Solutions may invest in various investment platforms advised by a number of investment advisory entities within FTI. Platform AUM reported for FT Multi-Asset Solutions therefore may include certain AUM separately reported under each utilised investment platform. Total AUM also includes assets managed by certain FTI advisers that do not form part of the selected investment platforms shown. As a result, the combined platform AUMs may not equal Total AUM and may be calculated and reported separately for regulatory or other purposes under each investment adviser. Each local asset manager may be considered as an entity affiliated with or associated to FTI by virtue of being a direct or indirect wholly-owned subsidiary of FRI, an entity or joint venture in which FRI owns a partial interest, which may be a minority interest, or a third party asset management company to which investment advisory services have been delegated by an FTI adviser. 3

4 5889 Franklin Templeton Investments A Trusted, Long-Term Partner in Investment Management A Trusted, Long-Term Partner in Investment Management Investment excellence Diverse investment solutions across multiple asset classes Time-tested investment disciplines plus exceptional research enables strong long-term performance potential Integrated, comprehensive and proven approach to investment risk management Committed to environmental, social and governance (ESG) investment integration Global perspective, local expertise Pioneer in global investing, with track record of innovation Unmatched breadth and depth of global presence Deep experience and long-term commitment to the markets we enter Strength and experience 70 years of navigating well through all market cycles Global business diversified by investment objective, geography and client type Values-driven culture guides how we work 4

5 0275 Franklin Templeton Emerging Markets Equity (Public and Private Equity) Global Offices Global Offices NEW YORK Gregory Van Beek, CFA Seasoned Team with Diverse Background 20 Offices Over 80 Investment Professionals¹ FRANKFURT Claus Born, CFA VIENNA Matjaz Schroll ISTANBUL Can Ozdogar Erman Kalkandelen Ersan Akgul Mustafa Aydemir BUENOS AIRES As of 30 June Santiago Petri CFA and Chartered Financial Analyst are trademarks owned by CFA Institute. 1. Investment professionals include research analysts, portfolio managers, directors and CIO. RIO DE JANEIRO Gustavo Stenzel, CFA Marcos Mundim, CFA SAO PAULO LAM Brazil: Andre Banks Eduardo Bopp Eduardo Cotrim Frederico Sampaio, CFA Guilherme Sansiviero Vitor Perito, CFA WARSAW Krzysztof Musialik, CFA BUCHAREST Adrian Cighi Calin Metes, CFA Dan Gheorghe Daniel Naftali Johan Meyer Oana Truta MUMBAI Abhishek Sahoo Vikas Chiranewal, CFA DUBAI Ahmed Awny, CFA Alexey Ilin, CFA Bassel Khatoun David Haglund Kapil Chadha Karim Abbas, CFA Salah Shamma CAPE TOWN Danesh Ranchhod, CFA HYDERABAD Jagadishwar Pasunoori Keyur Vora Nikhil Arora KUALA LUMPUR Edward Pang, CFA Gerald Sheah, CFA CHENNAI Akhil Kalluri Anand Radhakrishnan, CFA Hari Shyamsunder, CFA Janakiraman Rengaraju, CFA Kiran Sebastian Krishna Prasad, CFA Lakshmikanth Reddy Murali Yerram Rajasa K. Roshi Jain, CFA Sandeep Manam Saurabh Das, CFA Srikesh Nair Swagato Ghosh Varun Sharma Vinod Bansal, CFA HONG KONG Bryan Wong, CFA Claudius Tsang, CFA Eddie Chow, CFA Eric Mok, CFA Jordan Pong, CFA Michael Chu, CFA Tom Wu Victor Lee, ACCA HO CHI MINH CITY Mike Nguyen, CFA Thi Thu Lam Nguyen SEOUL Jay Choi, CFA Steve Chae LAM Korea: Hae Chang Lee Ho Jun Oh Jay Jung Jin Soo Yook JJ Kang Jung Ku Kang Moo Il Jung So Hyun Lee Sung Sik Oh BANGKOK Peerasith Triratpadoongphol Sumetha Lewchalermwong, CFA SINGAPORE Chetan Sehgal, CFA Chuan Wei Ong Gervin Yang Manraj Sekhon, CFA Richard Piliero Sri Sari Sukumar Rajah Tek Khoan Ong, CFA Yi Ping Liao 5

6 3456 Franklin Templeton Emerging Markets Equity Manraj Sekhon, CFA Chief Investment Officer, Emerging Markets Equity 24 Years of Experience Tek Khoan Ong SMD, Director of Research 30 Years of Experience Chetan Sehgal SMD, Director of Portfolio Management Focus Area: GEM and Small Cap 23 Years of Experience Sukumar Rajah SMD, Director of Portfolio Management Focus Area: Asia 27 Years of Experience Bassel Khatoun MD, Director of Portfolio Management Focus Area: Frontier/MENA 16 Years of Experience Over 90 investment professionals¹ located in 22 offices globally Additional Resources Product Management Investment Risk Management Group Trading As of 30 September Investment professionals include research analysts, portfolio managers, directors and CIO. 6

7 4085 Franklin Templeton Emerging Markets Equity Research Coverage (Public Equity) ASIA CHINA Hong Kong Bryan Wong, CFA: China, Hong Kong Eddie Chow, CFA: Energy, China, Hong Kong, Taiwan Eric Mok, CFA: Technology, China, Hong Kong, Taiwan Jordan Pong, CFA: Technology, Hong Kong, Taiwan Michael Chu, CFA: China, Hong Kong Tom Wu: Director of Portfolio Administration; Financials INDIA Chennai Akhil Kalluri: India Anand Radhakrishnan, CFA: India Equity CIO Hari Shyamsunder, CFA: India Janakiraman Rengaraju, CFA: India Kiran Sebastian: India Krishna Prasad Natarajan, CFA: India Lakshmikanth Reddy: India Murali Yerram: India, Asia ex-japan Rajasa K.: India Roshi Jain, CFA: India Sandeep Manam: India Saurabh Das, CFA: Head of Research, India Equity Srikesh Nair: India Swagato Goshi: Cement Sector, India Varun Sharma: India Vinod Bansal, CFA: India INDIA Hyderabad Jagadishwar Pasunoori: UAE, Kuwait, Jordan, Lebanon Keyur Vora: Saudi Arabia, Oman, Tunisia Nikhil Arora: Egypt, Qatar, Bahrain INDIA Mumbai Abhishek Sahoo: India Vikas Chiranewal, CFA: EMSC, India MALAYSIA Kuala Lumpur Edward Pang, CFA: Malaysia, Singapore Gerald Sheah, CFA: Malaysia SINGAPORE Chetan Sehgal, CFA: GEM, EMSC Gervin Yang: Internet Sri Sari: Indonesia, Singapore Sukumar Rajah: Asia ex-japan Tek Khoan Ong, CFA: Director of Research Yi Ping Liao: Asia ex-japan SOUTH KOREA Seoul Jay Choi, CFA: Korea Steve Chae: Korea THAILAND Bangkok Peerasith Triratpadoongphol: Thailand Sumetha Lewchalermwong, CFA: Thailand VIETNAM Ho Chi Minh City Mike Nguyen, CFA: Vietnam, Bangladesh, India, Pakistan, Sri Lanka Thi Thu Lam Nguyen: Vietnam, Philippines MIDDLE EAST/AFRICA SOUTH AFRICA Cape Town Danesh Ranchhod, CFA: Sub-Saharan Africa UNITED ARAB EMIRATES Dubai Ahmed Awny, CFA: Frontier, North Africa, Middle East Alexey llin, CFA: Energy, Russia Bassel Khatoun: Frontier, North Africa, Middle East David Haglund: Frontier, North Africa, Middle East Karim Abbas, CFA: Kuwait, UAE Salah Shamma: North Africa, Middle East EUROPE GERMANY Frankfurt Claus Born, CFA: Europe POLAND Warsaw Krzysztof Musialik, CFA: EMSC, Health Care ROMANIA Bucharest Adrian Cighi: Romania Calin Metes, CFA: Romania Dan Gheorghe: Romania Daniel Naftali: Romania Johan Meyer: Romania Oana Truta: Romania, Greece LATIN AMERICA ARGENTINA Buenos Aires Santiago Petri: Materials, Latin America (ex Brazil) BRAZIL Rio de Janeiro Gustavo Stenzel, CFA: Latin America Marcos Mundim, CFA: Latin America BRAZIL Sao Paulo Andre Banks: LAM Brazil Eduardo Bopp: LAM Brazil Eduardo Cotrim: LAM Brazil Frederico Sampaio, CFA: LAM Brazil CIO Guilherme Sansiviero: LAM Brazil Vitor Perito, CFA: LAM Brazil As of 30 June Investment professionals include research analysts, portfolio managers, directors and CIO. 7

8 0279 Templeton s Investment Philosophy Philosophy A time-tested investment philosophy built upon a disciplined, yet flexible, long-term approach to value-oriented emerging markets investing which allows Templeton to look beyond short-term news, noise, and emotion. Value Orientation Patient Investment Outlook Bottom-Up Approach Value Our goal is to identify those companies that appear to be trading at a discount to what our estimation indicates as their projected future intrinsic value, which, over time, may produce strong share price return. Patience On a short-term basis, stocks may overreact to news and noise. On a longterm basis, we believe markets are efficient and patience may reward those who have identified undervalued stocks. Bottom-Up We identify value through rigorous fundamental analysis, proprietary screens, and a worldwide network of experienced research resources. Research is done on a company-by-company basis in different countries and industries to determine what we consider its economic worth to be based on projected future earnings, cash flow, asset value potential, and material environmental, social and governance (ESG) factors. 8

9 0477 Templeton s Emerging Investment Markets Process Investment Process TEMPLETON S BOTTOM-UP STOCK SELECTION PROCESS STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Attribution Analysis Ongoing Valuation Analysis Disciplined Sell Methodology Weekly Peer Review and Risk Analytics Investment Restrictions and Guidelines Continual Review Process Peer Review and Analysts Set Final Target Price Action List Inclusion ( Securities) 1 Quantitative Analysis Qualitative Analysis Sector and Country Input Emerging Markets Database Initial Screening (3,000 4,000 Securities) 1 Global Contacts Master List (25,000 Securities) 1 1.This is a general depiction of Templeton's methodology and may not reflect the exact methodology for selecting eligible investments for this particular portfolio. 9

10 0477 STEP 1 Identify Potential Bargains Does this stock meet our criteria in terms of valuation, size, and liquidity? Is this stock a potential Templeton bargain within the global universe, its sector, and on a historical basis? Templeton Emerging Markets Process The research process begins with the Master List a proprietary database of approximately 25,000 emerging markets companies 1 Analysts have primary country or sector responsibilities, resulting in comprehensive emerging markets research coverage Analysts are responsible for scrutinising the integrity and quality of each country by conducting a Country Entry Study focusing on the following: Regulatory, accounting standards and taxes Banking, monetary, fiscal transparency and foreign exchange controls Compliance to legal framework Custodial establishments: registration, trade and settlement procedures Foreign investment limitations Conformity with ESG norms STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Templeton Emerging Markets Strengths A deep and experienced research team, which is the key to the Templeton process While our philosophy remains unchanged, continual improvement and refinement of our investment process is part of the Templeton culture Our 60+ years of global investing has allowed us to build an extensive network of local contacts around the world RESULT Approximately 25,000 securities are narrowed down to 3,000 4,000 stocks that warrant further analysis. 1 1.This is a general depiction of Templeton's methodology and may not reflect the exact methodology for selecting eligible investments for this particular portfolio. 10

11 0477 STEP 2 In-Depth Fundamental Analysis Is this stock a Templeton Emerging Markets Action List candidate? Is the stock trading at a substantial discount to what our research indicates the company may be worth over the long term? Templeton Emerging Markets Process Conduct comprehensive fundamental analysis to assess a company s longterm value Quantitative Analysis: Historical audited financial statements Five-year forecasts based on projected future normalised earnings, cash flow, or asset value potential Qualitative Analysis: Understanding the business, its management quality, ownership structure, ESG practices, and commitment to creating shareholder value Global peers comparison relative valuation, competitive position Company visits tour facilities and interview management Action List consideration identify potential candidates to include in our dynamic list of companies that we consider the best investment opportunities Proprietary EMDB research database provides centralised hub to facilitate comprehensive research efforts STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Templeton Emerging Markets Strengths Within the framework of Templeton s disciplined, long-term approach, our analysts look beyond short-term noise to estimate the long-term economic worth of a company Our bottom-up fundamental analysis, industry knowledge, and access to company management drive original research RESULT 3,000 4,000 investment ideas are narrowed down to securities comprising the Templeton Emerging Markets Action List. 1 1.This is a general depiction of Templeton's methodology and may not reflect the exact methodology for selecting eligible investments for this particular portfolio. 11

12 0477 STEP 3 Peer Review Has analysis met Templeton Emerging Markets standards? Does recommendation pass the peer review process? Templeton Emerging Markets Process Review of Investment Proposal: Weekly Peer Review Discussion Company/Industry overviews and investment thesis Financial model highlights and assumptions Team-Driven Decision Making The analysis of every company includes: Designated reviewer (backup analyst) Sector analyst (where applicable) Regional research team discussion Portfolio managers Price Limit Determination Based on feedback from Review Team, analysts set their final recommendation with target price STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Templeton Emerging Markets Strengths A collaborative team culture that leverages the experience of the entire Emerging Markets Equity Group produces comprehensive research insights RESULT Analyst stock recommendation is included in the Templeton Emerging Markets Action List. 12

13 0477 STEP 4 Portfolio Construction What do we consider to represent the best combination of stocks for creating a diversified portfolio with the greatest appreciation potential? Does greater value exist in another stock idea? Templeton Emerging Markets Process 1 RESEARCH The Action List includes all updated recommendations from analysts and forms the basis for individual portfolios. Macro and sector research provides portfolio-level context to supplement stocklevel research. PORTFOLIO CONSTRUCTION Taking into consideration the investment objective and guidelines, the portfolio is built with attention to diversification and risk levels. General characteristics of a typical Templeton emerging markets portfolio include 2 : Broad sector and geographical representation A management style that seeks low turnover and aims to be fully invested³ STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Templeton Emerging Markets Strengths Our portfolio construction process seeks to reduce portfolio turnover While our philosophy remains unchanged, continual improvement and refinement to our investment process is part of the Templeton culture RESULT A diversified Templeton emerging markets portfolio which combines the appreciation potential of our best ideas with the risk benefits of diversification. 1.This is a general depiction of Templeton's methodology and may not reflect the exact methodology for selecting eligible investments for this particular portfolio. 2. At the portfolio level, characteristics will be tailored based on the objectives, parameters and risks of the specific portfolio. For product-specific risk information, please consult each portfolio s legal offering and/or other documents. 3. A Templeton portfolio is fully invested when no more than 5% of its total assets are in cash. 13

14 0477 STEP 5 Evaluation and Attribution Analysis, Portfolio Maintenance What are the performance contributors/detractors? Templeton Emerging Markets Process 1 Disciplined sell methodology Stock price exceeds our estimation of fair value Greater value potential exists in another security Fundamental change occurs at the company to alter our forecasts Weekly Review Analysts monitor valuations, portfolio managers ensure diversification, and, together, they review price targets Team reviews portfolio for adherence to investment objectives Semi-annual Meetings Portfolio managers assess and evaluate methodology, resources, internal efficiencies, and Team discusses portfolio-related themes such as company-specific issues, country-related issues, and global industry trends in detail STEP 5 Evaluation and Attribution Analysis Portfolio Maintenance STEP 4 Portfolio Construction STEP 3 Peer Review STEP 2 In-Depth Fundamental Analysis STEP 1 Identify Potential Bargains Templeton Emerging Markets Strengths Templeton s investment process combines the benefits of both individual and team portfolio management Templeton s global trading desk and its extensive leveraging of technology has consistently added value by reducing trading costs and market impact RESULT The portfolio continually reflects Franklin Templeton Emerging Markets Equity s best investment ideas. 1.This is a general depiction of Templeton's methodology and may not reflect the exact methodology for selecting eligible investments for this particular portfolio. 14

15 Summary - A (acc) USD As of 30 September 2018 Morningstar Category Investment Style Asia ex Japan Equity Core Value Fund Inception Date 16 April 1991 Share Class Inception Date 14 May 2001 Benchmark Base Currency for Fund Base Currency for Share Class MSCI All Country Asia ex-japan Index USD USD Total Net Assets (USD) 3,637,420, Portfolio Turnover 59.50% Asset Allocation Equity: 97.88% Number of Issuers 49 Total Expense Ratio 2.21% Cash & Cash Equivalents: 2.12% Summary of Investment Objective The Fund aims to achieve long-term capital appreciation by investing primarily in equity securities listed in Asia (excluding Australia, New Zealand and Japan). Portfolio Manager(s) Sukumar Rajah Eric Mok, CFA Fund Identifiers ISIN Code LU SEDOL Code Bloomberg Code Fund Ratings (30 September 2018) Overall Morningstar Rating ««Singapore Hong Kong TEMFRBI LX The Portfolio Turnover is calculated over a 12-month period as at the end of the fiscal year (30 June 2018). Holdings of the same issuer have been combined. Morningstar, Inc All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Information is historical and may not reflect current or future portfolio characteristics. All portfolio holdings are subject to change. The fund offers other share classes subject to different fees and expenses, which will affect their performance. Please see the prospectus for details. Past performance is not an indicator or a guarantee of future performance. 15

16 What are the Key Risks? The value of shares in the Fund and income received from it can go down as well as up and investors may not get back the full amount invested. Performance may also be affected by currency fluctuations. Currency fluctuations may affect the value of overseas investments. The Fund invests mainly in equity securities of companies located in or doing significant business in Asia. Emerging markets have historically been subject to significant price movements, frequently to a greater extent than equity markets globally. As a result, the performance of the Fund can fluctuate significantly over relatively short time periods. Other significant risks include: currency risk, emerging markets risk, liquidity risk, operational risk. For full details of all of the risks applicable to this Fund, please refer to the Risk Considerations section of the Fund in the current prospectus of Franklin Templeton Investment Funds. 16

17 Sector Allocation vs. MSCI All Country Asia ex-japan Index As of 30 September 2018 Financials Information Technology Consumer Discretionary Energy Communication Services Industrials Materials Consumer Staples Real Estate Health Care Utilities Cash & Cash Equivalents 0% 6% 12% 18% 24% 30% MSCI All Country Asia ex-japan Index Portfolio % Index % Over/Under % Financials Banks Insurance Diversified Financials Information Technology Technology Hardware & Equipment Semiconductors & Semiconductor Equipment Software & Services Consumer Discretionary Retailing Automobiles & Components Consumer Durables & Apparel Consumer Services Energy Communication Services Media & Entertainment Telecommunication Services Industrials Capital Goods Transportation Commercial & Professional Services Materials Consumer Staples Food & Staples Retailing Food, Beverage & Tobacco Household & Personal Products Real Estate Health Care Pharmaceuticals, Biotechnology & Life Sciences Health Care Equipment & Services Utilities Cash & Cash Equivalents Weightings as percent of total. Percentage may not total 100% due to rounding. Information is historical and may not reflect current or future portfolio characteristics. All portfolio holdings are subject to change. 17

18 Geographic Allocation vs. MSCI All Country Asia ex-japan Index As of 30 September 2018 China South Korea Thailand Indonesia India Taiwan Hong Kong Portfolio % Index % Over/Under % Asia China South Korea Thailand Indonesia India Taiwan Hong Kong Pakistan Singapore Malaysia Philippines Cash & Cash Equivalents Pakistan Singapore Malaysia Philippines Cash & Cash Equivalents 0% 8% 16% 24% 32% 40% MSCI All Country Asia ex-japan Index Weightings as percent of total. Percentage may not total 100% due to rounding. Information is historical and may not reflect current or future portfolio characteristics. All portfolio holdings are subject to change. 18

19 Top Ten Holdings As of 30 September 2018 Name of Issuer Country Industry % of Total ALIBABA GROUP HOLDING LTD China Retailing 8.68 SAMSUNG ELECTRONICS CO LTD South Korea Technology Hardware & Equipment 8.16 TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD Taiwan Semiconductors & Semiconductor Equipment 7.50 BANK DANAMON INDONESIA TBK PT Indonesia Banks 6.17 TENCENT HOLDINGS LTD China Media & Entertainment 5.23 BRILLIANCE CHINA AUTOMOTIVE HOLDINGS LTD China Automobiles & Components 4.95 PTT EXPLORATION & PRODUCTION PCL Thailand Energy 3.72 KASIKORNBANK PCL Thailand Banks 3.36 HDFC BANK LTD India Banks 3.16 DAIRY FARM INTERNATIONAL HOLDINGS LTD Hong Kong Food & Staples Retailing 2.80 Total The Ten Largest Holdings represent the ten largest holdings of the fund as of the date indicated. These securities do not represent all of the securities purchased, sold or recommended for advisory clients, and the reader should not assume that investment in the securities listed was or will be profitable. All portfolio holdings are subject to change. Holdings of the same issuer have been combined. The portfolio manager for the fund reserves the right to withhold release of information with respect to holdings that would otherwise be included in the top 10 holdings list. 19

20 Portfolio Characteristics vs. MSCI All Country Asia ex-japan Index As of 30 September 2018 Portfolio Price to Earnings (12-mo Trailing) 13.72x 13.11x Price to Cash Flow 7.59x 8.77x Price to Book 1.77x 1.59x Dividend Yield 2.57% 2.55% Market Capitalisation (Millions USD) 119,317 79,402 Market Capitalisation Breakdown in USD Portfolio % <2.0 Billion Billion Billion Billion Billion 5.33 >50.0 Billion Index Information is historical and may not reflect current or future portfolio characteristics. All portfolio holdings are subject to change. The portfolio characteristics listed are based on the Fund s underlying holdings, and do not necessarily reflect the Fund s characteristics. Due to data limitations all equity holdings are assumed to be the primary equity issue (usually the ordinary or common shares) of each security s issuing company. This methodology may cause small differences between the portfolio s reported characteristics and the portfolio s actual characteristics. In practice, Franklin Templeton s portfolio managers invest in the class or type of security which they believe is most appropriate at the time of purchase. The dividend yield quoted here is the yield on securities within the Fund s portfolio and should not be used as an indication of the income received from this portfolio. The market capitalisation figures for both the portfolio and the benchmark are the security level, not aggregated up to the main issuer. Source: FactSet. Price Ratio calculations for the weighted average use harmonic means. Any exceptions to this are noted. Market capitalisation statistics are indicated in the base currency for the portfolio presented. Past performance is not an indicator or a guarantee of future performance. 20

21 Discrete Performance - A (acc) USD As of 30 September 2018 Discrete Annual Performance (%) Inception Date - A (acc) USD Net of Fees MSCI All Country Asia ex-japan Index /17 09/18 09/16 09/17 09/15 09/16 09/14 09/15 09/13 09/14 All performance data shown is in the Fund currency stated and net of management fees. Sales charges and other commissions, taxes and other relevant costs paid by the investor are not included in the calculations. Performance data may represent blended share class performance, e.g., hybrid created from an A (dis) share class which was converted to A (acc). The fund offers other share classes subject to different fees and expenses, which will affect their performance. Please see the prospectus for details. When performance for either the portfolio or its benchmark has been converted, different foreign exchange closing rates may be used between the portfolio and its benchmark. The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance is not an indicator or a guarantee of future performance. Current performance may differ from figures shown. Currency fluctuations may affect the value of overseas investments. When investing in a fund denominated in a foreign currency, performance may also be affected by currency fluctuations. Please visit franklintempleton.lu for current performance. 21

22 Historical Performance - A (acc) USD As of 30 September 2018 Annualised Total Returns (%) Inception Date 1 Yr 3 Yrs 5 Yrs 10 Yrs - A (acc) USD Net of Fees MSCI All Country Asia ex-japan Index Since Incept Cumulative Performance (%) Inception Date 1 Mth 3 Mths YTD 1 Yr 3 Yrs 5 Yrs 10 Yrs - A (acc) USD Net of Fees MSCI All Country Asia ex-japan Index Since Incept All performance data shown is in the Fund currency stated and net of management fees. Sales charges and other commissions, taxes and other relevant costs paid by the investor are not included in the calculations. Performance data may represent blended share class performance, e.g., hybrid created from an A (dis) share class which was converted to A (acc). The fund offers other share classes subject to different fees and expenses, which will affect their performance. Please see the prospectus for details. When performance for either the portfolio or its benchmark has been converted, different foreign exchange closing rates may be used between the portfolio and its benchmark. The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance is not an indicator or a guarantee of future performance. Current performance may differ from figures shown. Currency fluctuations may affect the value of overseas investments. When investing in a fund denominated in a foreign currency, performance may also be affected by currency fluctuations. Please visit franklintempleton.lu for current performance. 22

23 Calendar Year Returns - A (acc) USD As of 30 September % % % % -62% YTD A (acc) USD Net of Fees MSCI All Country Asia ex-japan Index All performance data shown is in the Fund currency stated and net of management fees. Sales charges and other commissions, taxes and other relevant costs paid by the investor are not included in the calculations. Performance data may represent blended share class performance, e.g., hybrid created from an A (dis) share class which was converted to A (acc). The fund offers other share classes subject to different fees and expenses, which will affect their performance. Please see the prospectus for details. When performance for either the portfolio or its benchmark has been converted, different foreign exchange closing rates may be used between the portfolio and its benchmark. The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance is not an indicator or a guarantee of future performance. Current performance may differ from figures shown. Currency fluctuations may affect the value of overseas investments. When investing in a fund denominated in a foreign currency, performance may also be affected by currency fluctuations. Please visit franklintempleton.lu for current performance. 23

24 Performance Risk Statistics - A (acc) USD As of 30 September 2018 Performance Risk Statistics 1 Yr 3 Yrs* 5 Yrs* 10 Yrs* 15 Yrs* Standard Deviation (%): - A (acc) USD MSCI All Country Asia ex-japan Index Tracking Error (%)^^ Information Ratio^^ Beta^^ Sharpe Ratio The base currency of a fund determines the risk-free rate index used in calculating certain risk statistics on this page. A fund that is based in USD uses the US T-Bill Index as the risk free rate return, a EUR-based fund uses the Euro 3-Month T-Bill Index, a GBP-based fund uses the UK Treasury Bills 3 Month Index, a JPY-based fund uses the Japan Financing Bill 3 Month Index, and an AUD-based fund uses the Australia T-Note 3 Month Index. When performance for either the portfolio or its benchmark has been converted, different foreign exchange closing rates may be used between the portfolio and its benchmark. ^^Measured against the MSCI All Country Asia ex-japan Index. *Annualised. Past performance is not an indicator or a guarantee of future performance. 24

25 Management Profile SUKUMAR RAJAH Senior Managing Director, Director of Portfolio Management Franklin Templeton Emerging Markets Equity Singapore Sukumar Rajah is Senior Managing Director, Director of Portfolio Management for Franklin Templeton Emerging Markets Equity. Based in Singapore, Mr. Rajah is responsible for overseeing single country, regional and multi-country products, investment process development and enhancements in Asia, and he is lead portfolio manager of the Asian equity portfolios. In addition, he is responsible for overseeing the India Equity group and is the lead portfolio manager of India-related funds and institutional accounts distributed outside of India. Mr. Rajah joined Pioneer ITI in 1994, which was acquired by Franklin Templeton in As part of the original equity team, he had helped shape the investment philosophy, which has helped various flagship funds deliver consistent returns for over a decade. Prior to joining Pioneer ITI, Mr. Rajah was assistant vice president of Indbank Merchant Banking Services, Ltd. responsible for advising the Indian Opportunities Fund, which was jointly managed by Martin Currie and Indbank. Before this, he worked for Tata Steel in the Decisions Support Systems Group from 1986 to Mr. Rajah earned his MBA specializing in finance and marketing from the Indian Institute of Management, Bangalore. He earned his Bachelors' Degree in Engineering, specializing in industrial engineering, from the Indian Institute of Technology, Roorkee. Mr. Rajah is the recipient of Business Standard's Fund Manager of the Year and India Today's India's Best Fund Manager (Equity), and manages, among others, the Franklin India Fund that bagged the Institutional Investor's Asia Money Masters' Best Indian Equities (2015) Other awards received by funds under Mr. Rajah include the Outlook Money Award (2013), Money Today FPCIL's Best Equity 2012, Lipper Award for Best Fund Performance (2011), ICRA Gold Award (2010), CNBC India-BNP Paribas Mutual Fund Award for Best Performing Fund and CRISIL Best Fund Award. 25

26 Management Profile ERIC MOK, CFA Senior Executive Director, Portfolio Manager Franklin Templeton Emerging Markets Equity Templeton Asset Management, Ltd. Hong Kong Eric Mok is a senior executive director, portfolio manager for the Franklin Templeton Emerging Markets Equity. He is a portfolio manager of Templeton Asian equity strategies and also have research responsibility in technology sector across global emerging markets as well as companies in China and Taiwan. He started his career in financial services industry and joined Franklin Templeton in Mr. Mok holds an M.S. in investment management from The Hong Kong University of Science and Technology and a B.S. in actuarial science and economics from the University of Toronto. He is a Chartered Financial Analyst (CFA) charterholder, speaks English, Cantonese and Mandarin. 26

27 Glossary Beta: A measure of the magnitude of a portfolio's past share-price fluctuations in relation to the ups and downs of the overall market (or appropriate market index). The market (or index) is assigned a beta of 1.00, so a portfolio with a beta of 1.20 would have seen its share price rise or fall by 12% when the overall market rose or fell by 10%. Dividend Yield: The annual dividend received on an equity security as a percentage of the price. For a portfolio, the value represents a weighted average of the stocks it holds. It should not be used as an indication of the income received from this portfolio. Information Ratio: In investing terminology, the ratio of expected return to risk. Usually, this statistical technique is used to measure a manager's performance against a benchmark. This measure explicitly relates the degree by which an investment has beaten the benchmark to the consistency by which the investment has beaten the benchmark. Market Capitalisation: A determination of a company's value, calculated by multiplying the total number of company stock shares outstanding by the price per share. Price to Book: The price per share of a stock divided by its book value (i.e., net worth) per share. For a portfolio, the value represents a weighted average of the stocks it holds. Price to Cash Flow: Supplements price/earnings ratio as a measure of relative value for a stock. For a portfolio, the value represents a weighted average of the stocks it holds. Price to Earnings (12-mo Trailing): The share price of a stock, divided by its per-share earnings over the past year. For a portfolio, the value represents a weighted average of the stocks it holds. Sharpe Ratio: To calculate a Sharpe ratio, an asset's excess returns (its return in excess of the return generated by risk-free assets such as Treasury bills) are divided by the asset's standard deviation. Standard Deviation: A measure of the degree to which a fund's return varies from the average of its previous returns. The larger the standard deviation, the greater the likelihood (and risk) that a fund's performance will fluctuate from the average return. Tracking Error: Measure of the deviation of the return of a fund compared to the return of a benchmark over a fixed period of time. Expressed as a percentage. The more passively the investment fund is managed, the smaller the tracking error. 27

28 Important Disclosures This document is intended to be of general interest only and does not constitute legal or tax advice nor is it an offer for shares or invitation to apply for shares of the Luxembourg-domiciled SICAV Franklin Templeton Investment Funds (the Fund ). Nothing in this document should be construed as investment advice. Subscriptions to shares of the Fund can only be made on the basis of the current prospectus of the Fund, accompanied by the latest available audited annual report and the latest semi-annual report if published thereafter. An investment in the Fund entails risks which are described in the Fund's prospectus. The value of shares in the Fund and income received from it can go down as well as up, and investors may not get back the full amount invested. Past performance is not an indicator or a guarantee of future performance. Currency fluctuations may affect the value of overseas investments. When investing in a fund denominated in a foreign currency, your performance may also be affected by currency fluctuations. In emerging markets, the risks can be greater than in developed markets. Investments in derivative instruments entail specific risks that may increase the risk profile of the fund and are more fully described in the Fund s prospectus. If the fund invests in a specific sector or geographical area, the returns may be more volatile than a more diversified fund. No shares of the Fund may be directly or indirectly offered or sold to residents of the United States of America. Shares of the Fund are not available for distribution in all jurisdictions and prospective investors should confirm availability with their local Franklin Templeton Investments representative before making any plans to invest. Opinions expressed are the author s at publication date and they are subject to change without prior notice. Any research and analysis contained in this document has been procured by Franklin Templeton Investments for its own purposes and is provided to you only incidentally. A copy of the latest prospectus, the annual report and semi-annual report, if published thereafter can be found, on our website: or can be obtained, free of charge, from the address below. Issued by Franklin Templeton Investments (ME) Limited, authorized and regulated by the Dubai Financial Services Authority. Dubai office: Franklin Templeton Investments, The Gate, East Wing, Level 2, Dubai International Financial Centre, P.O. Box , Dubai, U.A.E., Tel.: Fax: References to indices are made for comparative purposes only and are provided to represent the investment environment existing during the time periods shown. An index is unmanaged and one cannot invest directly in an index. The performance of the index does not include the deduction of expenses and does not represent the performance of any Franklin Templeton fund Franklin Templeton Investments. All rights reserved. CFA and Chartered Financial Analyst are trademarks owned by CFA Institute. Indexes are unmanaged, and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges. 28

29 Important Disclosures (continued) All MSCI data is provided as is. The Fund described herein is not sponsored or endorsed by MSCI. In no event shall MSCI, its affiliates or any MSCI data provider have any liability of any kind in connection with the MSCI data or the Fund described herein. Copying or redistributing the MSCI data is strictly prohibited. 29

Emerging Markets Equity. Franklin Templeton Investment Funds Templeton Asian Growth Fund - I (acc) USD. Data as of 31 August 2018

Emerging Markets Equity. Franklin Templeton Investment Funds Templeton Asian Growth Fund - I (acc) USD. Data as of 31 August 2018 Emerging Markets Equity Data as of 31 August 2018 Franklin Templeton Investment Funds - I (acc) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical Performance...6

More information

Templeton Emerging Markets Group. Franklin Templeton Investment Funds Templeton Asian Growth Fund - A (acc) USD. Data as of 31 December 2017

Templeton Emerging Markets Group. Franklin Templeton Investment Funds Templeton Asian Growth Fund - A (acc) USD. Data as of 31 December 2017 Templeton Emerging Markets Group Data as of 31 December 2017 Franklin Templeton Investment Funds - A (acc) USD Table of Contents Investment Capabilities Overview...3 Templeton Emerging Markets Investment

More information

Templeton Asian Growth Fund

Templeton Asian Growth Fund Franklin Templeton Investment Funds Templeton Asian Growth Fund Core Value Fund Profile Fund Details Inception Date 30 June 1991 Investment Style Benchmark(s) Core Value MSCI All Country Asia ex Japan

More information

Templeton Asian Growth ex Japan. Equity Composite

Templeton Asian Growth ex Japan. Equity Composite Templeton Asian Equity Product Profile Product Details Strategy Assets $4,835,954,296.20 Inception Date 31/12/2001 Base Currency USD Investment Style Overview Templeton s interest and research in emerging

More information

Templeton Asian Growth Fund A (acc) USD

Templeton Asian Growth Fund A (acc) USD Templeton Asian Growth Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $3,686,704,307.04 Fund Inception Date 16.04.1991 Number of Issuers

More information

Templeton Frontier Markets Fund A (acc) USD

Templeton Frontier Markets Fund A (acc) USD Templeton Frontier Markets Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $667,573,342.18 Fund Inception Date 14/10/2008 Number of Issuers

More information

Templeton Emerging Markets Smaller Companies Fund

Templeton Emerging Markets Smaller Companies Fund Franklin Templeton Investment Funds Templeton Emerging Markets Smaller Companies Fund Core Value Fund Profile Fund Details Inception Date 18 October 2007 Investment Style Benchmark(s) Core Value MSCI Emerging

More information

Franklin Templeton Fixed Income Group. Franklin Templeton Investment Funds Franklin Asia Credit Fund - I (acc) USD. Data as of 30 November 2018

Franklin Templeton Fixed Income Group. Franklin Templeton Investment Funds Franklin Asia Credit Fund - I (acc) USD. Data as of 30 November 2018 Franklin Templeton Fixed Income Group Data as of 30 November 2018 Franklin Templeton Investment Funds - I (acc) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

Templeton Asian Growth Fund A (Ydis) USD

Templeton Asian Growth Fund A (Ydis) USD Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $4,472,298,470.36 Fund Inception Date 16/04/1991 Number of Issuers

More information

A (Ydis) USD. Franklin Templeton Investment Funds. Fund Manager Report. Calendar Year Returns (%) Portfolio Manager Insight

A (Ydis) USD. Franklin Templeton Investment Funds. Fund Manager Report. Calendar Year Returns (%) Portfolio Manager Insight Templeton Emerging Markets Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $965,180,399.67 Fund Inception Date 28/02/1991 Number of

More information

Templeton China Fund A (acc) USD

Templeton China Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $581,186,801.52 Fund Inception Date 01/09/1994 Number of Issuers 52 Bloomberg ISIN Base Currency Investment

More information

A

A 31.10.2018 * () 3.18 16.04.1991 48 * ( ) * Sukumar Rajah: Eric Mok, CFA: * * 5 () (%) A 140 120 100 % 99.64 0.36 80 60 10/13 04/14 10/14 04/15 10/15 04/16 10/16 04/17 10/17 04/18 10/18 () (%) 3 1 3 5 10

More information

Templeton Asian Growth Fund A (Ydis) USD

Templeton Asian Growth Fund A (Ydis) USD Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $4472298470.36 Fund Inception Date 16/04/1991 Number of Issuers

More information

Templeton Asian Smaller Companies Fund A (acc) USD

Templeton Asian Smaller Companies Fund A (acc) USD Templeton Asian Smaller Companies Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $1484994629.55 Fund Inception Date 14/10/2008 Number

More information

Templeton BRIC Fund A (acc) USD

Templeton BRIC Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $832,597,433.81 Fund Inception Date 25/10/2005 Number of Issuers 50 Bloomberg ISIN Base Currency Investment

More information

Templeton China Fund

Templeton China Fund Franklin Templeton Investment Funds Templeton China Fund Core Value Fund Profile Fund Details Inception Date 1 September 1994 Investment Style Benchmark(s) Core Value MSCI Golden Dragon Index FUND OBJECTIVE

More information

Templeton Global Stock Trust

Templeton Global Stock Trust Product Profile Product Details 1 Fund Assets $479,581,107.95 Fund Inception Date 09/15/1997 Number of Issuers 81 Base Currency CAD Benchmark Benchmark Currency CAD Distribution Frequency Annually Fund

More information

Compounded Returns for Periods Ended September 30, 2017 (%) Management Expense Ratio (as of 4/30/17 incl. HST) 2.45%

Compounded Returns for Periods Ended September 30, 2017 (%) Management Expense Ratio (as of 4/30/17 incl. HST) 2.45% Templeton Growth Fund, Ltd. Series A Product Profile Third Quarter 2017 FUND CHARACTERISTICS (AS OF 9/30/17) Fund Inception Date 11/29/54 Distribution Frequency Annually Morningstar Category Global Equity

More information

Franklin Mutual Series. Franklin Templeton Investment Funds Franklin Mutual Euroland Fund - A(acc) EUR. Data as of December 31, 2014

Franklin Mutual Series. Franklin Templeton Investment Funds Franklin Mutual Euroland Fund - A(acc) EUR. Data as of December 31, 2014 Franklin Mutual Series Data as of December 31, 2014 Franklin Templeton Investment Funds Franklin Mutual Euroland Fund - A(acc) EUR Source for data and information provided by Franklin Templeton Investments,

More information

Franklin Equity Group. Franklin Templeton Investment Funds Franklin U.S. Opportunities Fund - A (acc) USD. Data as of 31 December 2017

Franklin Equity Group. Franklin Templeton Investment Funds Franklin U.S. Opportunities Fund - A (acc) USD. Data as of 31 December 2017 Franklin Equity Group Data as of 31 December 2017 Franklin Templeton Investment Funds - A (acc) USD Table of Contents Investment Capabilities Overview...3 Franklin Equity Group...4 U.S. Growth Investment

More information

Templeton International Equity Trust

Templeton International Equity Trust Product Profile First Quarter 2018 FUND CHARACTERISTICS (AS OF 3/31/18) Fund Inception Date 11/1/90 Distribution Frequency Annually Benchmark (CAD) Total Net Assets (CAD) $458 million Number of Issuers

More information

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - I (acc) USD. Data as of 28 February 2019

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - I (acc) USD. Data as of 28 February 2019 Templeton Global Macro Group Data as of 28 February 2019 Franklin Templeton Investment Funds - I (acc) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

Templeton Africa Fund

Templeton Africa Fund Franklin Templeton Investment Funds Templeton Africa Fund Core Value Fund Profile Fund Details Inception Date 4 May 2012 Investment Style Benchmark(s) Core Value Dow Jones Titans Africa 50 Index FUND OBJECTIVE

More information

Templeton Asian Growth Fund A. A (Ydis) USD

Templeton Asian Growth Fund A. A (Ydis) USD Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $4,926,477,664.82 Fund Inception Date 04/16/1991 Number of Issuers

More information

Advisor Class. Average Annual Total Returns 5 (%) 3 Mths YTD 1 Yr 3 Yrs 5 Yrs 10 Yrs 20 Yrs (10/16/1991)

Advisor Class. Average Annual Total Returns 5 (%) 3 Mths YTD 1 Yr 3 Yrs 5 Yrs 10 Yrs 20 Yrs (10/16/1991) Templeton Developing Markets Trust Advisor Class Value Equity Product Profile Product Details 1 Fund Assets $1,420,822,800.04 Fund Inception Date 10/16/1991 Number of Issuers 94 NASDAQ Symbol TDADX Maximum

More information

Templeton Emerging Markets Fund

Templeton Emerging Markets Fund Franklin Templeton Investment Funds Templeton Emerging Markets Fund Core Value Fund Profile Fund Details Inception Date 28 February 1991 Investment Style Benchmark(s) Core Value MSCI Emerging Markets Index

More information

Templeton Growth (Euro) Fund A (acc) EUR

Templeton Growth (Euro) Fund A (acc) EUR Templeton Growth (Euro) Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details Fund Assets 7,183,194,265.20 Fund Inception Date 09/08/2000 Number of Issuers

More information

Templeton Asian Growth Fund A (Ydis) USD

Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Templeton Asian Growth Fund Asia ex Japan Equity 30.11.2017 Fund Fact Sheet For the source and calculation basis of Fund information, please refer to the *Explanatory

More information

Franklin MENA Fund A (acc) USD

Franklin MENA Fund A (acc) USD Franklin Templeton Investment Funds Growth Equity Fund Manager Report Product Details 1 Fund Assets $97,294,995.20 Fund Inception Date 16/06/2008 Number of Issuers 46 Bloomberg ISIN Base Currency Investment

More information

Templeton Frontier Markets Fund

Templeton Frontier Markets Fund Franklin Templeton Investment Funds Templeton Frontier Markets Fund Core Value Fund Profile Fund Details Inception Date 14 October 2008 Investment Style Benchmark(s) Core Value MSCI Frontier Emerging Markets

More information

Templeton Asian Growth Fund A (Ydis) USD

Templeton Asian Growth Fund A (Ydis) USD Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $4,472,298,470.36 Fund Inception Date 04/16/1991 Number of Issuers

More information

Templeton China World Fund Advisor Class

Templeton China World Fund Advisor Class Templeton China World Fund Advisor Class Equity Product Profile Product Details 1 Fund Assets $290,551,367.47 Fund Inception Date 09/08/1993 Number of Issuers 51 NASDAQ Symbol TACWX Maximum Sales Charge

More information

Templeton Emerging Markets Fund

Templeton Emerging Markets Fund Product Profile Product Details 1 Fund Assets $267,096,563.10 Fund Inception Date 09/20/1991 Number of Issuers 82 Base Currency CAD Benchmark MSCI Emerging Markets Index Distribution Frequency Annually

More information

Franklin Equity Group. Franklin Templeton Investment Funds Franklin India Fund - A (acc) USD. Data as of 31 December 2017

Franklin Equity Group. Franklin Templeton Investment Funds Franklin India Fund - A (acc) USD. Data as of 31 December 2017 Franklin Equity Group Data as of 31 December 2017 Franklin Templeton Investment Funds - A (acc) USD Table of Contents Franklin Templeton Investments Overview...3 Summary...23 Investment Capabilities Overview...4

More information

Templeton Emerging Markets Investment Trust

Templeton Emerging Markets Investment Trust Templeton Emerging Markets Investment Trust CAPITALISE ON TRANSFORMATIONAL GROWTH Image for illustrative purposes only Capitalise on Emerging Market Transformation with Templeton Emerging Markets Investment

More information

Templeton Africa Fund A (acc) USD

Templeton Africa Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $68,086,079.02 Fund Inception Date 04/05/2012 Number of Issuers 30 Bloomberg FTAFAAU LX ISIN LU0727123662

More information

Templeton Latin America Fund A (Ydis) USD

Templeton Latin America Fund A (Ydis) USD Templeton Latin America Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $1,050,576,208.81 Fund Inception Date 28/02/1991 Number of Issuers

More information

Franklin European Small-Mid Cap Growth Fund A (acc) EUR

Franklin European Small-Mid Cap Growth Fund A (acc) EUR Franklin European Small-Mid Cap Growth Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Growth Equity Product Details 1 Fund Assets 465,083,303.95 Fund Inception Date 03/12/2001

More information

Franklin European Dividend Fund

Franklin European Dividend Fund Franklin Templeton Investment Funds Franklin European Dividend Fund Flex-Cap Blend Fund Profile Fund Details Inception Date 29 July 2011 Investment Style Flex-Cap Blend Benchmark(s) MSCI Europe Index Fund

More information

Franklin Templeton Investment Funds Templeton Africa Fund

Franklin Templeton Investment Funds Templeton Africa Fund Franklin Templeton Investment Funds Templeton Africa Fund Equity LU0727123662 30 September 2017 Fund Manager Report Fund Characteristics Base Currency USD Total Net Assets (USD) 80,657,349 Fund Inception

More information

Templeton Asian Growth Fund A. A (Ydis) USD

Templeton Asian Growth Fund A. A (Ydis) USD Templeton Asian Growth Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $4,711,861,226.99 Fund Inception Date 04/16/1991 Number of Issuers

More information

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of 30 November 2018

Templeton Global Macro Group. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of 30 November 2018 Templeton Global Macro Group Data as of 30 November 2018 Franklin Templeton Investment Funds - A (Mdis) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

Templeton BRIC Fund A (acc) USD

Templeton BRIC Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $677,114,757.61 Fund Inception Date 25.10.2005 Number of Issuers 51 Bloomberg ISIN Base Currency Investment

More information

Templeton Emerging Markets Small Cap Fund Class A, C

Templeton Emerging Markets Small Cap Fund Class A, C Templeton Emerging Markets Small Cap Fund Class A, C Value Equity Product Profile Product Details 1 Fund Assets $1,006,954,613.92 Fund Inception Date 10/02/2006 Number of Issuers 132 Investment Style Benchmark

More information

Templeton BRIC Fund A (acc) USD

Templeton BRIC Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $618949749.64 Fund Inception Date 25/10/2005 Number of Issuers 52 Bloomberg ISIN Base Currency Investment

More information

Templeton Global Macro. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of March 31, 2018

Templeton Global Macro. Franklin Templeton Investment Funds Templeton Global Bond Fund - A (Mdis) USD. Data as of March 31, 2018 Templeton Global Macro Data as of March 31, 2018 Franklin Templeton Investment Funds - A (Mdis) USD Table of Contents Summary...3 Historical Performance...4 Calendar Year Returns...5 Performance Risk Statistics...

More information

Franklin Equity Group. Franklin Templeton Investment Funds Franklin MENA Fund - A (acc) USD. Data as of 30 June 2018

Franklin Equity Group. Franklin Templeton Investment Funds Franklin MENA Fund - A (acc) USD. Data as of 30 June 2018 Franklin Equity Group Data as of 30 June 2018 Franklin Templeton Investment Funds - A (acc) USD Table of Contents Why Consider This Fund?...4 Why Invest in MENA?... 23 W hy Consider This Fund?... 5 1.

More information

Franklin GCC Bond Fund

Franklin GCC Bond Fund Franklin Templeton Investment Funds Franklin GCC Bond Fund Fixed Income Fund Profile Fund Details Inception Date 30 August 2013 Investment Style Benchmark(s) Fixed Income Citigroup MENA Broad Index GCC

More information

Templeton Latin America Fund A (Ydis) USD

Templeton Latin America Fund A (Ydis) USD Templeton Latin America Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Blend Equity Product Details 1 Fund Assets $1,076,825,961.83 Fund Inception Date 28/02/1991 Number of Issuers

More information

Templeton BRIC Fund A (acc) USD

Templeton BRIC Fund A (acc) USD Franklin Templeton Investment Funds Value Equity Fund Manager Report Product Details 1 Fund Assets $906480749.69 Fund Inception Date 25/10/2005 Number of Issuers 49 Bloomberg ISIN Base Currency Investment

More information

Franklin MENA Fund A (acc) USD

Franklin MENA Fund A (acc) USD Franklin Templeton Investment Funds Growth Equity Fund Manager Report Product Details 1 Fund Assets $97.294.995,20 Fund Inception Date 16.06.2008 Number of Issuers 46 Bloomberg ISIN Base Currency Investment

More information

Franklin Templeton Investments Our Global Perspective

Franklin Templeton Investments Our Global Perspective Greg Johnson Chief Executive Officer Franklin Resources, Inc. Franklin Templeton Investments Our Global Perspective Dealer Use Only / Not for Distribution to the Public World-Class Investment Management

More information

Franklin Gold and Precious Metals Fund A (acc) USD

Franklin Gold and Precious Metals Fund A (acc) USD Franklin Gold and Precious Metals Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Precious Metals Equity Product Details 1 Fund Assets $207,885,393.53 Fund Inception Date 30/04/2010

More information

Franklin Templeton Investment Funds Templeton Emerging Markets Bond Fund - A (Qdis) USD

Franklin Templeton Investment Funds Templeton Emerging Markets Bond Fund - A (Qdis) USD Templeton Global Macro Group Data as of 30 November 2018 Franklin Templeton Investment Funds - A (Qdis) USD Table of Contents Summary...3 What are the Key Risks?...4 Discrete Performance... 5 Historical

More information

Templeton Frontier Markets Fund A (acc) USD

Templeton Frontier Markets Fund A (acc) USD Templeton Frontier Markets Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $823,769,137.43 Fund Inception Date 14.10.2008 Number of Issuers

More information

INVEST WITH A GLOBAL LEADER

INVEST WITH A GLOBAL LEADER INVEST WITH A GLOBAL LEADER Since 1947, our firm has been dedicated to delivering exceptional asset management for our institutional, retail, and high-net-worth clients. By bringing together multiple,

More information

Franklin GCC Bond Fund - I(acc) USD. Franklin Templeton Investment Funds Franklin GCC Bond Fund - I(acc) USD FRANKLIN TEMPLETON INVESTMENTS

Franklin GCC Bond Fund - I(acc) USD. Franklin Templeton Investment Funds Franklin GCC Bond Fund - I(acc) USD FRANKLIN TEMPLETON INVESTMENTS - I(acc) USD Franklin Templeton Investment Funds - I(acc) USD Data as of 30 September 2013 Source for data and information provided by Franklin Templeton Investments, as of the date of this presentation,

More information

Templeton Emerging Markets Balanced Fund A (Qdis) USD

Templeton Emerging Markets Balanced Fund A (Qdis) USD Templeton Emerging Markets Balanced Fund A (Qdis) USD Franklin Templeton Investment Funds Fund Manager Report Total Return Multi-Asset Product Details 1 Fund Assets $132,161,280.24 Fund Inception Date

More information

Franklin Gold and Precious Metals Fund A (acc) USD

Franklin Gold and Precious Metals Fund A (acc) USD Franklin Gold and Precious Metals Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Precious Metals Equity Product Details 1 Fund Assets $228,490,147.50 Fund Inception Date 30/04/2010

More information

Franklin European Growth Fund

Franklin European Growth Fund Franklin Templeton Investment Funds Franklin European Growth Fund Flex-Cap Growth Fund Profile Fund Details Inception Date 29 December 2000 Investment Style Flex-Cap Growth Benchmark(s) MSCI Europe Index

More information

Templeton Emerging Markets Small Cap Fund Advisor Class

Templeton Emerging Markets Small Cap Fund Advisor Class Templeton Emerging Markets Small Cap Fund Advisor Class Value Equity Product Profile Product Details 1 Fund Assets $1,088,378,620.46 Fund Inception Date 10/02/2006 Number of Issuers 136 NASDAQ Symbol TEMZX

More information

Franklin Global Fundamental Strategies Fund A (acc) USD

Franklin Global Fundamental Strategies Fund A (acc) USD Franklin Global Fundamental Strategies Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Total Return Multi-Asset Product Details 1 Fund Assets $2,004,270,834.71 Fund Inception Date

More information

FRANKLIN TEMPLETON INVESTMENTS. Franklin Resources, Inc. Bank of America Merrill Lynch Banking and Financial Services Conference November 18, 2010

FRANKLIN TEMPLETON INVESTMENTS. Franklin Resources, Inc. Bank of America Merrill Lynch Banking and Financial Services Conference November 18, 2010 Franklin Resources, Inc. Bank of America Merrill Lynch Banking and Financial Services Conference November 18, 2010 Forward-Looking Statements The financial results in this presentation are preliminary.

More information

Franklin MENA Fund A (acc) USD

Franklin MENA Fund A (acc) USD Franklin Templeton Investment Funds Growth Equity Fund Manager Report Product Details 1 Fund Assets $97294995.20 Fund Inception Date 16/06/2008 Number of Issuers 46 Bloomberg ISIN Base Currency Investment

More information

Franklin Global Sukuk Fund

Franklin Global Sukuk Fund Franklin Templeton Shariah Funds Franklin Global Sukuk Fund Fixed Income Fund Profile Fund Details Inception Date 10 September 2012 Investment Style Benchmark(s) Fixed Income Dow Jones Sukuk (USD) Index

More information

Franklin Brazil Opportunities Fund

Franklin Brazil Opportunities Fund Franklin Templeton Investment Funds Franklin Brazil Opportunities Fund Multi-Asset Fund Profile Fund Details Inception Date 27 July 2012 Investment Style Benchmark(s) Multi-Asset 40% JP Morgan EMBI Brazil

More information

Franklin Global Government Bond Fund

Franklin Global Government Bond Fund Franklin Templeton Investment Funds Franklin Global Government Bond Fund Fixed Income Fund Profile Fund Details Inception Date 06 September 2013 Investment Style Benchmark(s) Fixed Income Citigroup World

More information

Franklin MENA Fund A (acc) USD

Franklin MENA Fund A (acc) USD Franklin Templeton Investment Funds Growth Equity Fund Manager Report Product Details 1 Fund Assets $97,294,995.20 Fund Inception Date 16.06.2008 Number of Issuers 46 Bloomberg ISIN Base Currency Investment

More information

TIF Emerging Markets Series

TIF Emerging Markets Series Equity Product Profile Product Details Fund Assets $57,261,320.21 Fund Inception Date 05/03/1993 Number of Issuers 94 Total Annual Operating 1.31% Expenses With Waiver Total Annual Operating 1.44% Expenses

More information

Templeton Global Bond Fund - I(acc) USD. Franklin Templeton Investment Funds Templeton Global Bond Fund - I(acc) USD FRANKLIN TEMPLETON INVESTMENTS

Templeton Global Bond Fund - I(acc) USD. Franklin Templeton Investment Funds Templeton Global Bond Fund - I(acc) USD FRANKLIN TEMPLETON INVESTMENTS Franklin Templeton Investment Funds - I(acc) USD Data as of 31 December 2013 Source for data and information provided by Franklin Templeton Investments, as of the date of this presentation, unless otherwise

More information

Templeton Emerging Markets Balanced Fund A (Qdis) USD

Templeton Emerging Markets Balanced Fund A (Qdis) USD Templeton Emerging Markets Balanced Fund A (Qdis) USD Franklin Templeton Investment Funds Fund Manager Report Total Return Multi-Asset Product Details 1 Fund Assets $124,394,628.70 Fund Inception Date

More information

Templeton Eastern Europe Fund A (acc) EUR

Templeton Eastern Europe Fund A (acc) EUR Templeton Eastern Europe Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets 220,866,400.20 Fund Inception Date 10.197 Number of Issuers

More information

Franklin Asia Credit Fund

Franklin Asia Credit Fund Franklin Templeton Investment Funds Franklin Asia Credit Fund Fixed Income Fund Profile Fund Details Inception Date 17 November 2014 Investment Style Benchmark(s) Fixed Income JP Morgan Asia Credit Index

More information

Templeton Latin America Fund A (Ydis) USD

Templeton Latin America Fund A (Ydis) USD Templeton Latin America Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $969558829.19 Fund Inception Date 28/02/1991 Number of Issuers

More information

Templeton Global Fund A (Ydis) USD

Templeton Global Fund A (Ydis) USD Templeton Global Fund A (Ydis) USD Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets $980028010.65 Fund Inception Date 28/02/1991 Number of Issuers 76 Bloomberg

More information

Templeton Eastern Europe Fund A. A (acc) EUR

Templeton Eastern Europe Fund A. A (acc) EUR Templeton Eastern Europe Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets 326615602.78 Fund Inception Date 10/11/1997 Number of Issuers

More information

Templeton Eastern Europe Fund A (acc) EUR

Templeton Eastern Europe Fund A (acc) EUR Templeton Eastern Europe Fund A (acc) EUR Franklin Templeton Investment Funds Fund Manager Report Value Equity Product Details 1 Fund Assets 234.377.881,20 Fund Inception Date 10.11.1997 Number of Issuers

More information

Stephen Dover, CFA: Purav Jhaveri, CFA: A

Stephen Dover, CFA: Purav Jhaveri, CFA: A 30.11.2018 * () 103 16.06.2008 50 * ( 30%) * Stephen Dover, CFA: Bassel Khatoun: Purav Jhaveri, CFA: Salah Shamma: - A Morningstar*: * % 99.13 0.87 100% ( ) * 5 () (%) A 140 120 100 80 11/13 05/14 11/14

More information

Companies Composite. Product Details 1. Overview. Performance Data. Value Equity September 30, Product Profile

Companies Composite. Product Details 1. Overview. Performance Data. Value Equity September 30, Product Profile Smaller Companies Composite Value Equity Product Profile Product Details 1 Strategy Assets $552,294,064.87 Inception Date 06/30/2001 Base Currency USD Investment Style Value Overview Our time-tested investment

More information

Franklin Mutual European Fund

Franklin Mutual European Fund Franklin Templeton Investment Funds Franklin Mutual European Fund Deep Value Fund Profile Fund Details Inception Date 3 April 2000 Investment Style Benchmark(s) Deep Value MSCI Europe NETR (Price with

More information

Franklin Natural Resources Fund A (acc) USD

Franklin Natural Resources Fund A (acc) USD Franklin Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Equity Product Details 1 Fund Assets $322,204,373.77 Fund Inception Date 12/07/2007 Number of Issuers 88 Bloomberg ISIN

More information

Franklin Templeton Investment Funds Franklin Templeton Global Allocation Fund

Franklin Templeton Investment Funds Franklin Templeton Global Allocation Fund Franklin Templeton Investment Funds Franklin Templeton Global Allocation Fund Fund Details Inception Date 29 July 2011 Investment Style Benchmark(s) Asset Allocation 50% MSCI All Country World Index 35%

More information

Franklin Biotechnology Discovery Fund A (acc) USD

Franklin Biotechnology Discovery Fund A (acc) USD Franklin Discovery Fund A (acc) USD Franklin Templeton Investment Funds Fund Manager Report Equity Product Details 1 Fund Assets $2,026,977,439.38 Fund Inception Date 03/04/2000 Number of Issuers 96 Bloomberg

More information

Franklin Global Growth Corporate Class

Franklin Global Growth Corporate Class Franklin Global Growth Corporate Class Product Profile Product Details 1,2 Fund Assets $31,316,918.86 Fund Inception Date 06/18/2001 Number of Issuers 36 Base Currency Morningstar Category Distribution

More information

Franklin ActiveQuant U.S. Corporate Class

Franklin ActiveQuant U.S. Corporate Class Franklin ActiveQuant U.S. Corporate Class Product Profile Product Details 1 Fund Assets $87,816,321.02 Fund Inception Date 03/03/2008 Base Currency Morningstar Category Distribution Frequency CAD US Equity

More information

Franklin Global Fundamental Strategies Fund

Franklin Global Fundamental Strategies Fund Franklin Templeton Investment Funds Franklin Global Fundamental Strategies Fund Asset Allocation Fund Profile Fund Details Inception Date 25 October 2007 Investment Style Benchmark(s) Asset Allocation

More information

Portfolio Manager Insight

Portfolio Manager Insight Growth Equity Product Profile Product Details Strategy Assets $4,064,420,195.71 Inception Date 11/30/2005 Base Currency USD Investment Style Growth Overview We seek to capture the growth potential of India

More information

Templeton Emerging Markets Bond Fund A (Qdis) USD

Templeton Emerging Markets Bond Fund A (Qdis) USD Templeton Emerging Markets Bond Fund A (Qdis) USD Franklin Templeton Investment Funds Fund Manager Report Unconstrained Fixed Income Product Details 1 Fund Assets $9,366,982,200.49 Fund Inception Date

More information

Franklin European Growth Fund

Franklin European Growth Fund Franklin Templeton Investment Funds Franklin European Growth Fund Flex-Cap Growth Fund Profile Fund Details Inception Date 29 December 2000 Investment Style Flex-Cap Growth Benchmark(s) MSCI Europe Index

More information

Product Profile. Performance Data. Average Annual Total Returns (USD %) 2,

Product Profile. Performance Data. Average Annual Total Returns (USD %) 2, Unconstrained Fixed Income Product Profile Product Details Composite Assets $612,308,518.31 Inception Date 30/11/2005 Base Currency USD Investment Style Unconstrained Overview 1 High alpha-seeking regional

More information

Templeton Asian Growth Fund Fund Manager Report

Templeton Asian Growth Fund Fund Manager Report Franklin Templeton Investment Funds Templeton Asian Growth Fund Fund Manager Report Equity LU0029875118 31 January 2016 Fund Characteristics Base Currency USD Total Net Assets (USD) 4,489,854,582 Fund

More information

Templeton Emerging Markets Fund Fund Manager Report

Templeton Emerging Markets Fund Fund Manager Report Franklin Templeton Investment Funds Templeton Emerging Markets Fund Fund Manager Report Equity LU0029874905 31 January 2016 Fund Characteristics Base Currency USD Total Net Assets (USD) 464,934,127 Fund

More information

Franklin Templeton Investment Funds. Franklin MENA Fund. Fund Fact Sheet. Performance over 5 Years in Share Class Currency (%)

Franklin Templeton Investment Funds. Franklin MENA Fund. Fund Fact Sheet. Performance over 5 Years in Share Class Currency (%) Franklin Templeton Investment Funds Franklin MENA Fund Middle East and North Africa Equity 28.02.2019 Fund Fact Sheet For the source and calculation basis of Fund information, please refer to the *Explanatory

More information

Franklin Bissett Small Cap Fund

Franklin Bissett Small Cap Fund Product Profile Product Details 1,2 Fund Assets $504,844,321.76 Fund Inception Date 08/30/1993 Number of Issuers 42 Base Currency CAD Morningstar Category - Distribution Frequency Annually Inception Date

More information

A (Ydis) EUR. Franklin Templeton Investment Funds. Fund Manager Report. Discrete Annual Performance (%) as at 31/01/2019. Calendar Year Returns (%)

A (Ydis) EUR. Franklin Templeton Investment Funds. Fund Manager Report. Discrete Annual Performance (%) as at 31/01/2019. Calendar Year Returns (%) Templeton Global Bond (Euro) Fund A (Ydis) EUR Franklin Templeton Investment Funds Fund Manager Report Unconstrained Fixed Income Product Details 1 Fund Assets 321879557.70 Fund Inception Date 29/08/2003

More information

Templeton World Fund Advisor Class

Templeton World Fund Advisor Class Value Equity Product Profile Product Details 1 Fund Assets $3,495,780,335.23 Fund Inception Date 01/17/1978 Number of Issuers 81 NASDAQ Symbol TWDAX Maximum Sales Charge 0.00 Investment Style Benchmark

More information

Franklin High Yield Fund A (Mdis) USD

Franklin High Yield Fund A (Mdis) USD Franklin High Yield Fund A (Mdis) USD Franklin Templeton Investment Funds Fund Manager Report High Yield Fixed Income Product Details 1 Fund Assets $1,816,584,912.58 Fund Inception Date 01/03/1996 Number

More information

The HSBC Global Investment Funds Menu

The HSBC Global Investment Funds Menu The HSBC Global Investment Funds Menu Your Selection Simplified July 2012 For professional clients only www.globalfunds.hsbc.com This Fund Menu provides an overview of HSBC Global Investment Funds and

More information

Franklin MENA Fund A (acc) USD

Franklin MENA Fund A (acc) USD Franklin Templeton Investment Funds Growth Equity Fund Manager Report Product Details 1 Fund Assets $83,313,772.43 Fund Inception Date 16/06/2008 Number of Issuers 42 Bloomberg ISIN Base Currency Investment

More information

T. Rowe Price Funds. Supplement to the following summary prospectuses, each as dated below (as supplemented) MARCH 1, 2018 MAY 1, 2018 JULY 1, 2018

T. Rowe Price Funds. Supplement to the following summary prospectuses, each as dated below (as supplemented) MARCH 1, 2018 MAY 1, 2018 JULY 1, 2018 T. Rowe Price Funds Supplement to the following summary prospectuses, each as dated below (as supplemented) Africa & Middle East Asia Opportunities Emerging Europe Emerging Markets Stock Emerging Markets

More information