Templeton Emerging Markets Bond Fund (USD) A (Qdis)
Last NAV USD
6.91
(Last Update : 2025/06/05) | 1-Month return +2.83% | Fund House Franklin Templeton Investments (Asia) Ltd |
Fund Type Fixed Income Funds | ||
Fund Size 1.93B | Sector General | |
Geographic Allocation Emerging Markets |
Fund Investment Objective & Strategy |
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The Fund aims to maximize total investment return, consisting of a combination of interest income, capital appreciation and currency gains by investing principally in a portfolio of fixed and floating rate debt securities and debt obligations issued by government and government- related issuers or corporate entities located in developing or emerging market countries. |
Key Risks |
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Derivatives risk: The fund may invest in financial derivatives or structured products such as credit-linked securities, swaps (including credit default swaps and total return swaps), futures, forwards, and options for hedging or investment purposes, or for efficient portfolio management (to reduce risk or cost). A small outlay may relate to material market exposure, but the fund sets aside cash or assets to meet any future obligation. Interest rate risk: Fixed income securities with longer term maturities tend to be more sensitive to interest rates changes than shorter term maturies. Credit risk: Default can occur if an issuer fails to make principal and interest payments when due. Generally, corporate bonds have a higher risk of default than governments. Low-rated securities risk: You are exposed to lower rated, non-investment grade securities where the risk of failure to pay interest or principal is greater vs. higher rated securities. Emerging markets risk: Emerging markets are generally smaller and less liquid than developed markets. Foreign currency risk: The fund may seek to hedge currency exposure or take a currency position for investments purposes, exposing your investment to potential losses. Liquidity risk: The fund may not be able to easily sell securities held in adverse market conditions or reduced creditworthiness of issuers in which it invests. Requests for redemption of shares, which are not listed, may be deferred or suspended. |
Last NAV | 1 Month Return | 3 Month Return |
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Fund Name | 1M Return | 3M Return |
---|---|---|
+17.52% | +38.69% | |
+16.22% | +12.45% | |
+15.68% | +19.16% | |
+13.85% | +15.63% | |
+13.51% | +3.73% | |
+11.62% | +9.37% | |
+11.22% | +4.06% | |
+11.20% | -0.02% | |
+11.03% | +3.52% | |
+10.97% | +3.69% |
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