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Franklin Templeton Investment Funds Franklin Mutual Global Discovery Fund Global Equity 30.09.2018 Fund Fact Sheet For the source and calculation basis of Fund information, please refer to the *Explanatory Notes section. Fund Overview Base Currency for Fund Total Net Assets (USD) USD 764 Millions Fund Inception Date 25.10.2005 Number of Issuers 86 Benchmark Morningstar Category * Summary of Investment Objective MSCI World Index Global Large-Cap Value Equity The Fund aims to achieve capital appreciation by investing primarily in equity securities of companies of any nation that the investment manager believes are available at market prices less than their intrinsic value. The Fund primarily invests in mid and large-cap companies with a market capitalisation around or greater than 1.5 billion US dollars. To a lesser extent, the Fund may also invest in distressed securities and merger arbitrage situations. Fund Management* Peter Langerman: United States Tim Rankin, CFA: United States Christian Correa, CFA: United States Ratings - A (acc) USD Overall Morningstar Rating *: Asset Allocation* % Equity 92.67 Cash & Cash Equivalents 5.74 Fixed Income 1.59 Offering Documents Share Class Information Risk Considerations The Fund may invest up to 100% of their total net assets in structured products, mortgage- and asset-backed securities and derivatives (such as credit default swaps, forwards and options), and is subject to significant liquidity and counterparty default risks. The Fund may invest in securities of companies undergoing restructuring, and as a result may be subject to liquidity risk. The Fund may invest in non-investment grade debt securities, and as a result may be subject to liquidity and counterparty default risks. The Fund's value may be affected by exchange control regulations and changes in exchange rates. This investment involves risks which may result in loss of part or entire amount of your investment. Before you decide to invest, you should make sure the intermediary has explained to you that the Fund is suitable to you. Investors should not only base on this marketing material alone to make investment decisions. Performance* Performance over 5 Years in Share Class Currency (%) Franklin Mutual Global Discovery Fund A (acc) USD 130 110 90 70 09/13 03/14 09/14 03/15 09/15 03/16 09/16 03/17 09/17 03/18 09/18 Performance in Share Class Currency (%) Cumulative 3 Mths YTD 1 Yr 3 Yrs 5 Yrs 10 Yrs Since Incept A (acc) USD 3.15-0.10 0.45 26.34 18.82 74.34 99.62 Benchmark in USD 5.10 5.89 11.84 48.88 60.26 140.57 158.00 Calendar Year Performance in Share Class Currency (%) 2017 2016 2015 2014 2013 A (acc) USD 11.44 9.40-6.18-3.43 26.86 Benchmark in USD 23.07 8.15-0.32 5.50 27.37 Top Ten Holdings (% of Total) Issuer Name ELI LILLY & CO 3.17 MEDTRONIC PLC 3.09 NOVARTIS AG 2.82 MERCK & CO INC 2.70 WALT DISNEY CO 2.49 GLAXOSMITHKLINE PLC 2.24 ROYAL DUTCH SHELL PLC 2.19 NN GROUP NV 2.12 BRITISH AMERICAN TOBACCO PLC 2.03 CITIZENS FINANCIAL GROUP INC 1.86 Fund Measures Price to Earnings (12-mo 13.33x Trailing) Price to Book 1.49x Price to Cash Flow 6.87x Dividend Yield 3.04% Standard Deviation (5 Yrs) 10.48% Fees Dividends Fund Identifiers Share Class Incept Date NAV TER (%) Max. Sales Charge (%) Mgmt. Fee (%) Max. Maint. Charge (%) Max. Serv. Charge (%) Last Paid Date Last Paid Amount ISIN A (acc) USD 25.10.2005 USD 19.96 1.83 5.00 1.00 0.50 N/A N/A N/A LU0211331839 B (acc) USD 25.10.2005 USD 16.87 3.14 N/A 1.00 0.75 1.06 N/A N/A LU0211332134 E-Mail fti-hk@franklintempleton.com Web www.franklintempleton.com.hk

Franklin Mutual Global Discovery Fund 30.09.2018 For the source and calculation basis of Fund information, please refer to the *Explanatory Notes section. Composition of Fund* Franklin Mutual Global Discovery Fund MSCI World Index Geographic % of Total United States 53.85 / 61.98 United Kingdom 12.59 / 6.07 Switzerland 4.97 / 2.86 Netherlands 4.34 / 1.16 France 3.67 / 3.89 Germany 2.72 / 3.26 Japan 2.22 / 8.52 South Korea 1.84 / 0.00 Israel 1.74 / 0.19 Others 6.33 / 12.09 Cash & Cash Equivalents 5.74 / 0.00 Sector % of Total Financials 24.50 / 16.39 Health Care 15.38 / 12.84 Information Technology 12.39 / 15.63 Communication Services 10.59 / 8.28 Energy 10.31 / 6.54 Consumer Discretionary 5.90 / 10.84 Industrials 5.44 / 11.32 Consumer Staples 4.17 / 7.81 Utilities 2.98 / 2.96 Others 2.60 / 7.39 Cash & Cash Equivalents 5.74 / 0.00 Market Capitalisation Breakdown in USD % of Equity <2.0 Billion 0.37 2.0-5.0 Billion 2.02 5.0-10.0 Billion 3.98 10.0-25.0 Billion 23.96 25.0-50.0 Billion 20.12 >50.0 Billion 48.16 N/A 1.39 Important Information Unless stated otherwise, all information is as of the publishing date of this document. Source: Franklin Templeton Investments. Franklin Templeton Investments (Asia) Limited is the issuer of this document. This document is neither an offer nor solicitation to purchase shares of the fund; applications for shares may only be made on forms of application available with the Offering Documents. Investments are subject to investment risks, fund value may go up as well as down and past performance is not an indicator or a guarantee of future performance. The investment returns are denominated in fund currency. Investors investing in funds denominated in non-local currency should be aware of the risk of exchange rate fluctuations that may cause a loss of principal. Investors should read carefully the Offering Documents (including the section 'Risk Considerations') for the relevant risks associated with the investment in the fund before investing. Distribution of this document may be restricted in certain jurisdictions. This document does not constitute the distribution of any information or the making of any offer or solicitation by anyone in any jurisdiction in which such distribution or offer is not authorized or to any person to whom it is unlawful to distribute such a report or make such an offer or solicitation. This document has not been reviewed by the Securities and Futures Commission of Hong Kong. *Explanatory Notes Performance: Performance information is based on the stated share class only, in Fund Currency, NAV to NAV, taking into account of dividend reinvestments and capital gain or loss. 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. 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. Morningstar Category : Copyright 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 provided for reference purposes only. Past performance is not an indicator or a guarantee of future performance. Fund Management: In the case of portfolio managers who are CFA Charterholders, CFA and Chartered Financial Analyst are trademarks owned by CFA Institute. Ratings: Copyright 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 provided for reference purposes only. Past performance is not an indicator or a guarantee of future performance. Top 10 Holdings: These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 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 holdings list. Dividend Yield: Reported as a weighted average to reflect the proportion of the portfolio each stock holding represents. This is the ratio of a stock s dividend per share to the month end market price. Asset Allocation/Composition of Fund: Due to rounding, the sum of portfolio may not equal 100%. 2018. Franklin Templeton Investments. All rights reserved. www.franklintempleton.com.hk

Product Key Facts Franklin Templeton Investment Funds Franklin Mutual Global Discovery Fund Last updated: April 2018 This statement provides you with key information about this product. This statement is a part of the offering document. You should not invest in this product based on this statement alone. Quick facts Management company: Franklin Templeton International Services S.à r.l. Investment manager: Franklin Mutual Advisers, LLC., United States of America (internal delegation) Depositary: J.P. Morgan Bank Luxembourg S.A. Base currency: USD Financial year end of this Fund: 30 June Dealing frequency: Every Hong Kong Business Day Minimum Investment: USD 1,000 [initial] and USD 500 [subsequent purchases] or equivalent Ongoing charges over a year # : Class A (acc) USD: 1.84% Class B (acc) USD: 3.14% Class N (acc) USD: 2.59% # The ongoing charges figures are based on the semi-annual financial statements for the period ended 31 December 2017. These figures may vary from year to year. Dividend policy: Dividends, if declared, will be reinvested unless indicated by you in the application form to be paid out. Subject to any legal and regulatory requirements, the Fund may at its discretion pay dividends out of the capital or out of gross income of the Fund while paying all or part of the Fund s fees and expenses out of the capital of the Fund, which results in effectively paying dividends out of capital. The Fund may amend such distribution policy subject to the SFC s prior approval and by giving not less than one month s prior notice to investors. Any distributions involving payment of dividends out of the Fund s capital or payment of dividends effectively out of the Fund s capital (as the case may be) may result in an immediate reduction of the net asset value per share. What is this product? This is a fund constituted in the form of a mutual fund. It is domiciled in Luxembourg and its home regulator is Commission de Surveillance du Secteur Financier ( CSSF ). Investment Objective and Policy Franklin Mutual Global Discovery Fund (the Fund ) aims to increase the value of its investments over the medium to long term. The Fund invests principally (that is, at least two-thirds of the Fund s net assets) in: common stock, preferred stock and debt securities convertible or expected to be convertible into common or preferred stock of companies of any nation as well as in sovereign debts and participations in foreign government debts that the Investment Manager believes are available at market prices less than their value based on certain recognised or objective criteria (intrinsic value) mid- and large-cap companies with a market capitalisation around or greater than USD 1.5 billion In exceptional market circumstances (such as extreme volatility) and on a temporary basis only, 100% of the Fund s net assets may be invested in liquid assets, with due regard to the principle of risk spreading. The Fund can invest on an ancillary basis in: Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 1

securities from companies involved in mergers, consolidations, liquidations or other major corporate transactions debt securities of companies involved in reorganization or financial restructuring, including low-rated and non-investment grade securities derivatives for hedging, efficient portfolio management and/or investment purposes Although the Fund focuses on mid- to large-sized companies (companies with at least $US1.5 billion in market capitalisation), it can invest in companies of all sizes. The investment team uses in-depth, fundamental research and analysis to find and purchase those equity and debt securities that are believed to be trading at a discount. The Fund does not intend to invest extensively or primarily in financial derivative instruments for investment purposes. For the purpose of generating additional capital or income or for reducing costs or risks, the Fund may engage in securities lending transactions for up to 50% of its net assets, in a manner that is consistent with its investment policy. For the avoidance of doubt, any securities lending will be an ancillary activity of the Fund only. What are the key risks? Investment involves risks. Please refer to the offering document for details including the risk factors. Market risk: The market values of securities owned by the Fund will tend to go up or down, sometimes rapidly or unpredictably, due to factors affecting individual issuers, particular industries or sectors within securities markets, or because of general market conditions. During a general downturn in the securities markets, multiple asset classes (including different sectors of the same asset class) may decline in value at the same time. Similarly, when markets perform well, there can be no assurance that securities held by the Fund will participate in the advance. Because the securities the Fund holds fluctuate in price in this manner, the Fund s value may go down as well as up and investors may be adversely affected. Equity risk: Equity and equity-linked securities are subject to significant price movements due to various economic, political, market and issuer-specific factors. Such changes may adversely affect the value of equities regardless of issuer-specific performance. Additionally, different industries, financial markets and securities can react differently to these changes. Such fluctuations of the Fund s value are often exacerbated in the short-term. Financial markets trends (including feared or actual failures in the banking system) may also cause large fluctuations in the prices of such securities. As a result, the Fund may be adversely affected. Interest rate securities risk: Interest rates changes tend to be driven by prevailing economic, political and regulatory conditions as well as issuer-specific factors, impacting longer term securities more than short-term securities. A fixed income security s value will generally increase in value when interest rates fall and decrease in value when interest rates rise. Movements in interest rates may therefore adversely affect the valuation of the Fund s fixed income securities (such as bonds) and the Fund s net asset value on a daily basis, in addition to impacting the amount of interest income earned by the Fund. Conditions in the banking sector may also adversely affect interest rates and the prices of fixed income securities. Credit risk: The Fund is exposed to the credit/default risk of issuers of the debt securities that the Fund may invest in. Changes in the financial condition of an issuer, changes in economic and political conditions in general, or changes in economic and political conditions specific to an issuer, are factors that may have an adverse impact on an issuer s credit quality and security value. Default can occur if an issuer fails to make principal and interest payments when due, which may result in a substantial loss to the Fund. Debt securities are also exposed to the risk of being downgraded, which can adversely affect and/or result in a substantial loss to the Fund. Sovereign debt risk: The Fund s investment in securities issued or guaranteed by governments may be exposed to political, social and economic risks. In adverse situations, the sovereign issuers may not be able or willing to repay the principal and/or interest when due or may request the Fund to participate in restructuring such debts. The Fund may suffer significant losses when there is a default of sovereign debt issuers and may have limited legal recourse against a sovereign debt issuer. Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 2

Low-rated, unrated or non-investment grade securities risk: The Fund may invest in lower rated, unrated or non-investment grade securities (such as lower rated bonds) where the risk of failure to pay interest and/or principal is greater vs. higher rated securities. Lower rated, unrated or non-investment grade securities generally pose greater illiquidity and valuation risks. These risks may result in a substantial loss to the Fund. Preferred securities risk: An investment in preferred securities involves additional risks that are not typically associated with an investment in common stocks. Generally, holders of preferred securities have no voting rights with respect to the issuer unless preferred dividends are in arrears. An issuer of preferred securities may redeem the securities prior to a specified date or defer distributions for a stated period, which may negatively impact the return of the security held by the Fund. Preferred securities may be substantially less liquid than common stocks and are subject to greater credit risk than bonds and other debt instruments. The value and performance of the Fund may be adversely affected as a result. Convertible securities risk: The Fund may invest in convertible securities which are a hybrid between debt and equity, permitting holders to convert into shares of the issuer at a specified future date. Convertibles are exposed to equity movement and greater volatility than straight bond investments. Investments in convertible securities are subject to the same interest rate risk, credit risk, liquidity risk and prepayment risk associated with comparable straight bond investments. The value and performance of the Fund may be adversely affected as a result. Restructuring companies risk: Companies involved in reorganization or financial restructuring tend to have a relatively weak financial position. Restructuring could be disruptive to the business and management structure of the companies involved, which may result in substantial losses for the Fund. Foreign currency risk: The Fund will typically invest to a significant degree in securities that are denominated in currencies other than the base currency of the Fund, exposing its investments to changes in foreign exchange rates and the possibility of exchange control regulations. Changes in currency exchange rates may adversely affect the value of the Fund, and also may affect the income earned by the Fund and gains and losses realized by the Fund. The Fund may seek to hedge currency exposure, which can limit the potential for currency gains. To the extent that the Fund seeks to hedge or protect against currency exchange risk, there is no guarantee that hedging or protection will be achieved, and the value of the Fund may be adversely affected. Liquidity risk: The Fund may not be able to easily sell securities due to adverse market conditions or reduced value or creditworthiness of issuers in which it invests. The inability of the Fund to sell securities or positions may also impede the ability of the Fund to meet redemption requests in a timely manner. Certain securities may also be illiquid due to limited trading markets or contractual restrictions on their resale. Reduced liquidity due to these factors may have an adverse impact on the net asset value of the Fund. Valuation risk: Valuation of the Fund s investments may involve uncertainties and judgmental determinations. Independent pricing information may not always be available. If valuations prove to be incorrect, the investors of the Fund may be adversely affected. Derivative instruments risk: Derivative instruments involve cost, may be volatile, and may involve a leverage effect. A small market movement may give rise to a proportionately larger impact, which may cause substantial loss to the Fund. Other risks include counterparty/credit risk, liquidity risk, valuation risk, volatility risk and over-the-counter transaction risk. The Fund may also hold covered short positions through the use of derivative instruments. In adverse situations, the Fund s use of derivative instruments may become ineffective and the Fund may suffer significant losses. Volatility risk: The debt securities in emerging markets may be subject to higher volatility and lower liquidity compared to more developed markets. The prices of securities traded in such markets may be subject to fluctuations. The bid and offer spreads of the price of such securities may be large and the Fund may incur significant trading costs. Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 3

Dividend policy risk: The Fund s dividend policy allows for payment of dividends out of capital or effectively out of capital. Where this is done, it amounts to a return or withdrawal of part of an investor s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of the Fund s capital or payment of dividends effectively out of the Fund s capital (as the case may be) may result in an immediate reduction of the net asset value per share. Counterparty risk: When over-the-counter (OTC) or other bilateral contracts (such as OTC derivative contracts) are entered into, the Fund may find itself exposed to risks arising from the solvency of its counterparties and from their ability to respect the condition of these contracts and the Fund/investors may be adversely impacted. Securities lending risk: Securities lending transactions may involve the risk that the borrower may fail to return the securities lent out in a timely manner and the value of the collateral may fall below the value of the securities lent out, which may result in a substantial loss to the Fund. How has the Fund performed? 30.0% 26.9% 19.9% 15.0% 9.2% 14.7% 9.4% 11.4% 0.0% -7.0% -3.4% -6.2% -15.0% -30.0% -26.0% 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 The performance of the Fund in these years was achieved under circumstances that no longer apply. The investment policy was changed in 2008, 2010 and 2016. Past performance information is not indicative of future performance. Investors may not get back the full amount invested. The computation basis of the performance is based on the calendar year end, NAV-to-NAV, with dividends reinvested. These figures show by how much class A (acc) USD increased or decreased in value during the calendar year being shown. Class A (acc) USD is the share class available in Hong Kong with the longest history in the Fund. Performance data has been calculated in USD, including ongoing charges and excluding subscription fee and redemption fee you might have to pay. Fund launch date: 25 October 2005 Class A (acc) USD launch date: 25 October 2005 Is there any guarantee? This Fund does not have any guarantees. You may not get back the full amount of money you invest. Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 4

What are the fees and charges? Charges which may be payable by you You may have to pay the following fees when dealing in the shares of the Fund. Class A Class B Class N Subscription fee (Initial sales charge) Up to 5.00% of the N/A Up to 3.00% of the subscription subscription amount amount Switching fee (Switching charge)* 1.00% of the N/A N/A value of the shares being switched Redemption fee (Redemption charge) N/A Up to 4.00% N/A Ongoing fees payable by the Fund The following expenses will be paid out of the Fund. They affect you because they reduce the return you get on your investments. Annual rate (as a % of the Fund s net asset value) Class A** Class B*** Class N** Management fee (Investment management fee)* 1.00% 1.00% 1.00% Depositary fee Up to 0.140% Up to 0.140% Up to 0.140% Performance fee N/A N/A N/A Administration fee N/A N/A N/A Maintenance charge* 0.50% 0.75% 1.25% Servicing charge N/A 1.06% N/A Registrar and Transfer, Corporate, Domiciliary and Up to 0.2175% Up to 0.2175% Up to 0.2175% Administrative Agent fee + Additional fixed amount per Shareholder account at each Class Up to USD 30 per Up to USD 30 per Up to USD 30 per level annum annum annum *The current fee level may be increased up to the maximum level permitted by the constitutive document of the Fund by giving one month s prior notice to the shareholders. ** The Annual Management Fees as defined in the Explanatory Memorandum comprise of the Management Fee (Investment Management Fee) and the Maintenance Charge. *** The Annual Management Fees as defined in the Explanatory Memorandum comprise of the Management Fee (Investment Management Fee), the Maintenance Charge and the Servicing Charge. Other fees You may have to pay other fees and charges when dealing in the shares of the Fund. Additional Information You generally buy and redeem shares at the Fund s next determined net asset value (NAV) after the Hong Kong Representative, Franklin Templeton Investments (Asia) Limited, receives your request in good order on or before 4:00 p.m. (Hong Kong time) being the dealing cut-off time. Certain intermediaries may impose an earlier dealing cut-off time. Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 5

The net asset value of this Fund is calculated and the price of shares is published on each business day. Information about prices is available online at www.franklintempleton.com.hk. The compositions of the dividends (i.e. the relative amounts paid out of (i) net distributable income and (ii) capital) for the last 12 months are made available by the Hong Kong Representative on request and are also available online at www.franklintempleton.com.hk. Investors may obtain the past performance information of other share classes offered to Hong Kong investors from the Hong Kong Representative's website at www.franklintempleton.com.hk. Investors may obtain information on the intermediaries by calling the Hong Kong Representative at (852)2877-7733 or visiting the Hong Kong Representative's website at www.franklintempleton.com.hk. The website mentioned above has not been reviewed by the Securities and Futures Commission ( SFC ). Important If you are in doubt, you should seek professional advice. The SFC takes no responsibility for the contents of this statement and makes no representation as to its accuracy or completeness. Franklin Templeton Investment Funds - Franklin Mutual Global Discovery Fund 6

30.09.2018 * () 764 25.10.2005 86 * * Peter Langerman: Tim Rankin, CFA: Christian Correa, CFA: - A 100% ( ) * 5 () (%) A 130 110 90 Morningstar*: * % 92.67 5.74 1.59 70 09/13 03/14 09/14 03/15 09/15 03/16 09/16 03/17 09/17 03/18 09/18 () (%) 3 1 3 5 10 A 3.15-0.10 0.45 26.34 18.82 74.34 99.62 5.10 5.89 11.84 48.88 60.26 140.57 158.00 () (%) 2017 2016 2015 2014 2013 A 11.44 9.40-6.18-3.43 26.86 23.07 8.15-0.32 5.50 27.37 * ( %) ELI LILLY & CO 3.17 MEDTRONIC PLC 3.09 NOVARTIS AG 2.82 MERCK & CO INC 2.70 WALT DISNEY CO 2.49 GLAXOSMITHKLINE PLC 2.24 ROYAL DUTCH SHELL PLC 2.19 NN GROUP NV 2.12 BRITISH AMERICAN TOBACCO PLC 2.03 CITIZENS FINANCIAL GROUP INC 1.86 12 13.33x 1.49x 6.87x 3.04% (5 ) 10.48% (%) (%) (%) (%) (%) ISIN A 25.10.2005 19.96 1.83 5.00 1.00 0.50 LU0211331839 B 25.10.2005 16.87 3.14 1.00 0.75 1.06 LU0211332134 fti-hk@franklintempleton.com www.franklintempleton.com.hk

30.09.2018 * * % 53.85 / 61.98 12.59 / 6.07 4.97 / 2.86 4.34 / 1.16 3.67 / 3.89 2.72 / 3.26 2.22 / 8.52 1.84 / 0.00 1.74 / 0.19 6.33 / 12.09 5.74 / 0.00 % 24.50 / 16.39 15.38 / 12.84 12.39 / 15.63 10.59 / 8.28 10.31 / 6.54 5.90 / 10.84 5.44 / 11.32 4.17 / 7.81 2.98 / 2.96 2.60 / 7.39 5.74 / 0.00 () % <2.0 0.37 2.0-5.0 2.02 5.0-10.0 3.98 10.0-25.0 23.96 25.0-50.0 20.12 >50.0 48.16 1.39 () * : : Copyright Morningstar, Inc.(1) Morningstar, Inc.(2) (3) CFA Chartered Financial Analyst : Copyright Morningstar, Inc. (1) Morningstar, Inc.(2) (3) : : / 100% Copyright 2018 www.franklintempleton.com.hk

2018 04 : Franklin Templeton International Services S.à r.l. : Franklin Mutual Advisers, LLC., : J.P. Morgan Bank Luxembourg S.A. : : 6 30 : : 1,000 [] 500 [] # : A () : 1.84% B () : 3.14% N () : 2.59% # 2017 12 31 : () Commission de Surveillance du Secteur Financier ( CSSF ) 100% - 1

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A B N ( ) 5.00% 3.00% ( ) * 1.00% ( ) 4.00% ( ) A ** B *** N ** ()* 1.00% 1.00% 1.00% 0.140% 0.140% 0.140% * 0.50% 0.75% 1.25% 1.06% + 0.2175% 0.2175% 0.2175% 30 30 30 * ** *** (()) www.franklintempleton.com.hk i ii www.franklintempleton.com.hk www.franklintempleton.com.hk - 5

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