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Templeton Global Bond Fund W(ydis)eur (0P0000ZT9B)

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6.670 -0.000    0.00%
20/12 - Closed. Currency in EUR
Type:  Fund
Market:  Luxembourg
ISIN:  LU0976565928 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 3.87M
Templeton Global Bond Fund W Ydis EUR 6.670 -0.000 0.00%

0P0000ZT9B Overview

 
Find basic information about the Templeton Global Bond Fund W(ydis)eur mutual fund such as total assets, risk rating, Min. investment, market cap and category. Learn about the fund's agencies rating and risk rating, transparent information about the fund's management personal, policies of invested allocation and diversification, past performance. In addition we provide you related news, analysis tools, interactive charts and analysis articles. You may add 0P0000ZT9B MF to your portfolio and watchlist to keep track with the fund's performance and users commentary.
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Rating
1-Year Change - 9.38%
Prev. Close6.67
Risk Rating
TTM Yield5.31%
ROEN/A
IssuerN/A
Turnover24.64%
ROAN/A
Inception DateOct 25, 2013
Total Assets3.87M
Expenses0.89%
Min. Investment1,000
Market CapN/A
CategoryGlobal Flexible Bond
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Templeton Global Bond Fund W(ydis)eur Analysis


Performance

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Condition

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Status

YTD 3M 1Y 3Y 5Y 10Y
Growth of 1000 975 997 1014 993 901 1035
Fund Return -2.45% -0.29% 1.38% -0.24% -2.06% 0.34%
Place in category 781 817 782 503 449 168
% in Category 99 97 99 70 95 88

Top Bond Funds by Franklin Templeton International Services S.à r.l.

  Name Rating Total Assets YTD% 3Y% 10Y%
  T Global Bond Fund W Mdis EUR 712.15K -2.50 -0.19 0.36
  T Global Bond Fund X acc EUR 975.86Array -1.75 0.55 1.09
  T Global Bond Fund Z acc EUR 754.7K -2.68 -0.41 0.20
  Templeton Global Bond Fund A Ydis E 81.51M -2.93 -0.75 -0.13
  Templeton Global Bond Fund I Ydis E 64.02K -2.76 -0.39 0.37

Top Funds for Global Flexible Bond Category

  Name Rating Total Assets YTD% 3Y% 10Y%
  LU1694789451 14.54B 3.80 5.61 -
  LU1694789709 14.54B 4.18 6.01 -
  LU1694789378 14.54B 4.40 6.24 -
  LU1694789535 14.54B 3.62 5.44 -
  T Global Bond Fund A acc EUR 229.25M -2.97 -0.71 -0.10

Top Holdings

Name ISIN Weight % Last Change %
Federal Home Loan Banks 0% - 10.99 - -
  Brasil 10 01-JAN-2031 BRSTNCNTF204 4.77 914.240 +0.00%
Treasury Corporation of Victoria 2% AU3SG0002256 4.77 - -
Malaysia (Government Of) 3.899% MYBMO1700040 3.98 - -
  Brazil 10 01-Jan-2029 BRSTNCNTF1Q6 3.36 941.130 0.00%

Technical Summary

Type Daily Weekly Monthly
Moving Averages Strong Sell Strong Sell Strong Sell
Technical Indicators Strong Sell Strong Sell Strong Sell
Summary Strong Sell Strong Sell Strong Sell
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