Overall Morningstar Rating
Rating Category: Global Large-Cap Blend Equity

The fund's overall Morningstar Rating measures risk-adjusted returns and is derived from a weighted average of the performance figures associated with its 3-, 5- and 10-year (if applicable) rating metrics.
The fund's overall Morningstar Rating measures risk-adjusted returns and is derived from a weighted average of the performance figures associated with its 3-, 5- and 10-year (if applicable) rating metrics.
Morningstar Style Box
| Large | Size | |||
|---|---|---|---|---|
| Medium | ||||
| Small | ||||
| Value | Blend | Growth | ||
| Style | ||||
Source: Morningstar®. The style box reveals a fund's investment style. The vertical axis shows the market capitalization of the stocks owned and the horizontal axis shows investment style (value, blend, or growth). Placement is determined by fund portfolio holding figures most recently entered into Morningstar's database and corresponding market conditions. Shaded areas show the past 3 years of quarterly data. Past performance does not guarantee future results.
Historical Morningstar Ratings
| Years | 3 |
| Ratings | |
| Number of Funds In Category | 5183 |
| Years | 5 |
| Ratings | |
| Number of Funds In Category | 3963 |
| Years | 10 |
| Ratings | |
| Number of Funds In Category | 2102 |
©2025 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.
This is a marketing communication. Please refer to the prospectus of the UCITS and to the KID before making any final investment decisions.
Overview
- Summary of Fund Objective
- Investor Profile
- What Are The Key Risks?
- Sustainability-related Disclosures
Summary of Fund Objective
To seek to maximise income and growth of capital (total return) over the long term. The Fund mainly invests in equities of companies of any market capitalisation anywhere in the world, including emerging markets.
Investor Profile
- Seeking capital appreciation and current income from their equity investments.
- Planning to hold their investments from the medium to long term.
What Are The Key Risks?
The Fund does not offer any capital guarantee or protection and you may not get back the amount invested.
- The Fund is subject to the following risks which are materially relevant:
Derivative Instruments risk: the risk of loss in an instrument where a small change in the value of the underlying investment may have a larger impact on the value of such instrument. Derivatives may involve additional liquidity, credit and counterparty risks.
Emerging markets risk: the risk related to investing in countries that have less developed political, economic, legal and regulatory systems, and that may be impacted by political/economic instability, lack of liquidity or transparency, or safekeeping issues.
Foreign Currency risk: the risk of loss arising from exchange-rate fluctuations or due to exchange control regulations.
Liquidity risk: the risk that arises when adverse market conditions affect the ability to sell assets when necessary. Such risk may be triggered by (but not limited to) unexpected events such as environmental disasters or pandemics. Reduced liquidity may have a negative impact on the price of the assets.
Complete information on the risks of investing in the Fund are set out in the Fund's prospectus.
Sustainability-related Disclosures
The Fund promotes environmental and social characteristics in accordance with Article 8 of the Sustainable Finance Disclosure Regulation (the “SFDR”).
In its implementation of the Fund’s environmental, social and governance (“ESG”) strategy, the Investment Manager favors investments in equity and equity related instruments in companies with an appropriate ESG profile, as captured by its proprietary ESG methodology, and engages with issuers which are considered as underperformers in terms of specific ESG metrics. In addition, the Fund applies specific ESG exclusions and commits to have an ESG score at Fund level higher than the average ESG score of companies in the identified investment universe.
The Fund’s environmental or social characteristics are assessed both quantitatively and qualitatively, by means of sustainability indicators as well as of the Investment Manager’ proprietary ESG ratings system and its engagement process further described in the Website disclosure’s dedicated sections. As part of its investment decision making process, the Fund’s ESG strategy also uses binding criteria for the selection of underlying assets.
Finally, the Fund has a minimum allocation of 20% of its portfolio to sustainable investments, with a minimum of 5% allocated towards investments with an environmentally sustainable objective and at least 5% allocated towards investments with a socially sustainable objective. The Fund ensures that its sustainable investments do not cause significant harm to any environmental or social sustainable investment objective.
Fund Information
Dividends & Yields
Portfolio Managers



Performance
- Average Annual Total Returns
- Cumulative Total Returns
- Calendar Year Returns
- Risk Measures
Average Annual Total Returns
Average Annual Total Returns
Past performance does not predict future returns.
Chart
Month End As of 09/30/2025 | Currency | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception 04/24/2015 | |
|---|---|---|---|---|---|---|---|---|
| N (Mdis) USD - Without Sales Charge (NAV) (%) | USD | 14.27 | 18.58 | 10.25 | 5.41 | — | 3.58 | |
| MSCI All Country World Index-NR (%) | USD | 17.27 | 23.12 | 13.55 | 11.91 | 10.19 | 9.94 |
Month End As of 09/30/2025 | Currency | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception |
| Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 9.27 | 12.71 | 11.27 | 5.91 | 6.44 | 4.40 | 05/27/2005 | ||
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 15.38 | 19.74 | 11.32 | 6.43 | 5.38 | 4.05 | 05/27/2005 | ||
| A (Mdis-Plus) USD - Without Sales Charge (NAV) (%) | USD | 15.39 | 19.73 | 11.33 | 6.45 | 5.39 | 4.06 | 05/27/2005 |
The fund’s returns may increase or decrease as a result of changes to foreign exchange rates.
Effective April 1, 2016, class B shares are closed to new investment and additional investment from existing holders.
Source for performance figures - Franklin Templeton. NAV to NAV, with gross income reinvested without initial charges but reflecting annual management fees. Sales charges, taxes and other locally applied costs have not been deducted, had they been deducted performance results would be lower. See the KID or prospectus for maximum sales charge information, if any. Investment return and principal value of an investment in the Fund will fluctuate, and shares may be worth more or less than their original cost when redeemed. An investor cannot invest directly in an index, and unmanaged index returns do not reflect any fees, expenses or sales charges. Cumulative returns and returns of less than one year are not annualized.
Cumulative Total Returns
Cumulative Total Returns
Past performance does not predict future returns.
2015
2025
Chart
Month End As of 09/30/2025 | Currency | YTD | 1 Month | 3 Months | 6 Months | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception 04/24/2015 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| N (Mdis) USD - Without Sales Charge (NAV) (%) | USD | 17.01 | 2.86 | 5.33 | 13.33 | 14.27 | 66.74 | 62.89 | 69.38 | — | 44.42 | |
| MSCI All Country World Index-NR (%) | USD | 18.44 | 3.62 | 7.62 | 20.03 | 17.27 | 86.65 | 88.72 | 208.11 | 328.60 | 168.93 |
Month End As of 09/30/2025 | Currency | YTD | 1 Month | 3 Months | 6 Months | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception |
| Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 3.84 | 2.60 | 5.91 | 4.84 | 9.27 | 43.20 | 70.55 | 77.62 | 155.12 | 140.33 | 05/27/2005 | ||
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 17.80 | 2.94 | 5.55 | 13.79 | 15.38 | 71.71 | 70.93 | 86.57 | 119.62 | 124.45 | 05/27/2005 | ||
| A (Mdis-Plus) USD - Without Sales Charge (NAV) (%) | USD | 17.81 | 2.98 | 5.58 | 13.79 | 15.39 | 71.65 | 71.02 | 86.81 | 119.63 | 124.73 | 05/27/2005 |
The fund’s returns may increase or decrease as a result of changes to foreign exchange rates.
Effective April 1, 2016, class B shares are closed to new investment and additional investment from existing holders.
Source for performance figures - Franklin Templeton. NAV to NAV, with gross income reinvested without initial charges but reflecting annual management fees. Sales charges, taxes and other locally applied costs have not been deducted, had they been deducted performance results would be lower. See the KID or prospectus for maximum sales charge information, if any. Investment return and principal value of an investment in the Fund will fluctuate, and shares may be worth more or less than their original cost when redeemed. An investor cannot invest directly in an index, and unmanaged index returns do not reflect any fees, expenses or sales charges. Cumulative returns and returns of less than one year are not annualized.
Calendar Year Returns
Calendar Year Returns
Past performance does not predict future returns.
Chart
Month End As of 09/30/2025 | Currency | YTD | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | Performance Inception Date | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| N (Mdis) USD - Without Sales Charge (NAV) (%) | USD | 17.01 | 12.82 | 12.26 | -12.84 | 7.18 | -0.23 | 15.93 | -15.13 | 19.27 | 2.49 | — | 04/24/2015 | |
| MSCI All Country World Index-NR (%) | USD | 18.44 | 17.49 | 22.20 | -18.36 | 18.54 | 16.25 | 26.60 | -9.42 | 23.97 | 7.86 | -2.36 | — |
Month End As of 09/30/2025 | Currency | YTD | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | Performance Inception Date | Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 3.84 | 21.47 | 9.93 | -6.52 | 16.24 | -7.48 | 19.47 | -10.20 | 5.66 | 6.89 | 4.56 | 05/27/2005 | ||
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 17.80 | 13.94 | 13.44 | -12.05 | 8.20 | 0.78 | 16.97 | -14.28 | 20.52 | 3.50 | -6.18 | 05/27/2005 | ||
| A (Mdis-Plus) USD - Without Sales Charge (NAV) (%) | USD | 17.81 | 14.01 | 13.30 | -11.97 | 8.24 | 0.77 | 16.92 | -14.24 | 20.42 | 3.56 | -6.17 | 05/27/2005 |
The fund’s returns may increase or decrease as a result of changes to foreign exchange rates.
Effective April 1, 2016, class B shares are closed to new investment and additional investment from existing holders.
Source for performance figures - Franklin Templeton. NAV to NAV, with gross income reinvested without initial charges but reflecting annual management fees. Sales charges, taxes and other locally applied costs have not been deducted, had they been deducted performance results would be lower. See the KID or prospectus for maximum sales charge information, if any. Investment return and principal value of an investment in the Fund will fluctuate, and shares may be worth more or less than their original cost when redeemed. An investor cannot invest directly in an index, and unmanaged index returns do not reflect any fees, expenses or sales charges. Cumulative returns and returns of less than one year are not annualized.
Risk Measures
Risk Measures
| Statistics | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| Beta | 0.91 | 0.89 | 0.95 |
| Historical Tracking Error | 4.57 | 5.59 | 5.65 |
| Information Ratio | -1.00 | -0.59 | -1.15 |
| Standard Deviation (%) | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| N (Mdis) USD - Without Sales Charge (NAV) | 12.05 | 14.24 | 14.99 |
| MSCI All Country World Index-NR | 12.36 | 14.88 | 14.60 |
| Sharpe Ratio (%) | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| N (Mdis) USD - Without Sales Charge (NAV) | 1.15 | 0.51 | 0.22 |
The fund’s returns may increase or decrease as a result of changes to foreign exchange rates.
Source for performance figures - Franklin Templeton. NAV to NAV, with gross income reinvested without initial charges but reflecting annual management fees. Sales charges, taxes and other locally applied costs have not been deducted, had they been deducted performance results would be lower. See the KID or prospectus for maximum sales charge information, if any. Investment return and principal value of an investment in the Fund will fluctuate, and shares may be worth more or less than their original cost when redeemed. An investor cannot invest directly in an index, and unmanaged index returns do not reflect any fees, expenses or sales charges. Cumulative returns and returns of less than one year are not annualized.
Portfolio
Assets
Positions
Portfolio Statistics
| Fund | Benchmark | |
|---|---|---|
| Price to Book | 4.39x | 3.57x |
| Price to Cash Flow | 17.61x | 14.39x |
| Price to Earnings (12-Month Trailing) | 25.33x | 23.27x |
Portfolio Allocations
- Assets
- Geography
- Sector
- Market Capitalization
Assets
Asset Allocation
Chart
| Fund | ||
|---|---|---|
| Equity | 97.39% | |
| Cash & Cash Equivalents | 2.61% |
Any negative cash position reflects a temporary position that is a result of a delay in securities settlement transactions.
Geography
Geographic Allocation
Chart
| Fund | Benchmark | ||
|---|---|---|---|
| 50.58% | 67.60% | ||
| 35.43% | 14.50% | ||
| 11.38% | 14.32% | ||
| 2.61% | — |
Any negative cash position reflects a temporary position that is a result of a delay in securities settlement transactions.
Sector
Sector Allocation
Chart
| Fund | Benchmark | ||
|---|---|---|---|
| Capital Goods | 18.48% | 7.97% | |
| Semiconductors & Semiconductor Equipment | 14.31% | 11.06% | |
| Software & Services | 13.29% | 9.17% | |
| Media & Entertainment | 10.87% | 7.32% | |
| Banks | 8.95% | 7.90% | |
| Pharmaceuticals, Biotechnology & Life Sciences | 6.65% | 5.58% | |
| Consumer Discretionary Distribution & Retail | 5.70% | 5.04% | |
| Materials | 5.19% | 3.58% | |
| Consumer Durables & Apparel | 3.32% | 1.22% | |
| Health Care Equipment & Services | 2.89% | 2.93% | |
| Technology Hardware & Equipment | 2.28% | 6.95% | |
| Financial Services | 2.04% | 6.43% | |
| Telecommunication Services | 1.48% | 1.52% | |
| Utilities | 1.02% | 2.55% | |
| Consumer Services | 0.93% | 1.77% | |
| Cash & Cash Equivalents | 2.61% | — |
Any negative cash position reflects a temporary position that is a result of a delay in securities settlement transactions.
Market Capitalization
Market Capitalization Allocation
Chart
| Fund | ||
|---|---|---|
| 10.0-25.0 Billion | 7.37% | |
| 25.0-50.0 Billion | 7.30% | |
| >50.0 Billion | 85.33% |
Any negative cash position reflects a temporary position that is a result of a delay in securities settlement transactions.
Portfolio Holdings
- Holdings
- Top 10 Issuers
Holdings
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.
Top 10 Issuers
Top Equity Issuers
Chart
| Fund | ||
|---|---|---|
| MICROSOFT CORP | 7.24% | |
| NVIDIA CORP | 6.21% | |
| AMAZON.COM INC | 5.69% | |
| TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD | 5.52% | |
| ALPHABET INC | 4.16% | |
| SAFRAN SA | 3.93% | |
| ROLLS-ROYCE HOLDINGS PLC | 3.73% | |
| AIRBUS SE | 3.15% | |
| CRH PLC | 2.57% | |
| WELLS FARGO & CO | 2.48% |
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.
Distributions & Tax
Distributions Per Share
| Share Class | Currency | Record Date | Ex-Dividend Date | Payable Date | NAV | Distribution Amount |
|---|---|---|---|---|---|---|
| N (Mdis) USD | USD | 07/07/2025 | 07/08/2025 | 07/15/2025 | $9.93 | $0.0080 |
- 2025
- 2024
- 2023
- 2022
- 2021
- 2020
- 2019
- 2018
- 2017
- 2016
- 2015
- Since Inception
| Currency | Record Date | Ex-Dividend Date | Payable Date | NAV | Distribution Amount |
|---|---|---|---|---|---|
| USD | 07/07/2025 | 07/08/2025 | 07/15/2025 | $9.93 | $0.0080 |
| USD | 06/06/2025 | 06/09/2025 | 06/16/2025 | $9.70 | $0.0550 |
| USD | 05/07/2025 | 05/08/2025 | 05/15/2025 | $9.26 | $0.0310 |
| USD | 04/07/2025 | 04/08/2025 | 04/15/2025 | $8.22 | $0.0140 |
| USD | 03/07/2025 | 03/10/2025 | 03/17/2025 | $9.30 | $0.0240 |
| USD | 02/07/2025 | 02/10/2025 | 02/18/2025 | $9.60 | $0.0060 |
| USD | 01/08/2025 | 01/10/2025 | 01/16/2025 | $9.00 | $0.0140 |
| USD | 12/06/2024 | 12/09/2024 | 12/16/2024 | $9.35 | $0.0220 |
| USD | 11/07/2024 | 11/08/2024 | 11/15/2024 | $9.37 | $0.0090 |
| USD | 10/07/2024 | 10/08/2024 | 10/15/2024 | $9.28 | $0.0120 |
| USD | 09/06/2024 | 09/09/2024 | 09/16/2024 | $9.01 | $0.0270 |
| USD | 08/07/2024 | 08/08/2024 | 08/15/2024 | $8.82 | $0.0070 |
| USD | 07/05/2024 | 07/08/2024 | 07/15/2024 | $8.95 | $0.0100 |
| USD | 06/07/2024 | 06/10/2024 | 06/17/2024 | $8.90 | $0.0330 |
| USD | 05/07/2024 | 05/08/2024 | 05/15/2024 | $8.82 | $0.0210 |
| USD | 04/05/2024 | 04/08/2024 | 04/15/2024 | $8.68 | $0.0080 |
| USD | 03/07/2024 | 03/08/2024 | 03/15/2024 | $8.53 | $0.0250 |
| USD | 02/07/2024 | 02/08/2024 | 02/15/2024 | $8.20 | $0.0040 |
| USD | 01/08/2024 | 01/09/2024 | 01/16/2024 | $8.22 | $0.0080 |
| USD | 12/07/2023 | 12/08/2023 | 12/15/2023 | $7.89 | $0.0230 |
| USD | 11/07/2023 | 11/08/2023 | 11/15/2023 | $7.51 | $0.0090 |
| USD | 10/06/2023 | 10/09/2023 | 10/16/2023 | $7.55 | $0.0080 |
| USD | 09/07/2023 | 09/08/2023 | 09/15/2023 | $7.84 | $0.0220 |
| USD | 08/07/2023 | 08/08/2023 | 08/15/2023 | $8.07 | $0.0100 |
| USD | 07/07/2023 | 07/10/2023 | 07/17/2023 | $7.99 | $0.0080 |
| USD | 06/07/2023 | 06/08/2023 | 06/15/2023 | $7.90 | $0.0440 |
| USD | 05/05/2023 | 05/08/2023 | 05/15/2023 | $8.01 | $0.0170 |
| USD | 04/10/2023 | 04/11/2023 | 04/18/2023 | $8.05 | $0.0090 |
| USD | 03/07/2023 | 03/08/2023 | 03/15/2023 | $7.78 | $0.0220 |
| USD | 02/07/2023 | 02/08/2023 | 02/15/2023 | $7.93 | $0.0080 |
| USD | 01/06/2023 | 01/09/2023 | 01/16/2023 | $7.66 | $0.0070 |
| USD | 12/07/2022 | 12/08/2022 | 12/15/2022 | $7.62 | $0.0190 |
| USD | 11/07/2022 | 11/08/2022 | 11/15/2022 | $7.23 | $0.0050 |
| USD | 10/07/2022 | 10/10/2022 | 10/17/2022 | $6.78 | $0.0110 |
| USD | 09/07/2022 | 09/08/2022 | 09/15/2022 | $7.40 | $0.0170 |
| USD | 08/05/2022 | 08/08/2022 | 08/16/2022 | $7.65 | $0.0050 |
| USD | 07/07/2022 | 07/08/2022 | 07/15/2022 | $7.47 | $0.0080 |
| USD | 06/07/2022 | 06/08/2022 | 06/15/2022 | $8.07 | $0.0360 |
| USD | 05/06/2022 | 05/09/2022 | 05/16/2022 | $7.76 | $0.0120 |
| USD | 04/07/2022 | 04/08/2022 | 04/19/2022 | $8.55 | $0.0190 |
| USD | 03/07/2022 | 03/08/2022 | 03/15/2022 | $8.08 | $0.0180 |
| USD | 02/07/2022 | 02/08/2022 | 02/15/2022 | $8.98 | $0.0030 |
| USD | 01/07/2022 | 01/10/2022 | 01/17/2022 | $8.91 | $0.0080 |
| USD | 12/07/2021 | 12/08/2021 | 12/15/2021 | $8.80 | $0.0110 |
| USD | 11/05/2021 | 11/08/2021 | 11/15/2021 | $9.05 | $0.0030 |
| USD | 10/07/2021 | 10/08/2021 | 10/15/2021 | $8.73 | $0.0250 |
| USD | 09/07/2021 | 09/08/2021 | 09/15/2021 | $8.97 | $0.0110 |
| USD | 08/06/2021 | 08/09/2021 | 08/16/2021 | $8.98 | $0.0040 |
| USD | 07/07/2021 | 07/08/2021 | 07/15/2021 | $8.81 | $0.0050 |
| USD | 06/07/2021 | 06/08/2021 | 06/15/2021 | $9.17 | $0.0270 |
| USD | 05/07/2021 | 05/10/2021 | 05/17/2021 | $9.17 | $0.0090 |
| USD | 04/08/2021 | 04/09/2021 | 04/16/2021 | $8.98 | $0.0130 |
| USD | 03/05/2021 | 03/08/2021 | 03/15/2021 | $8.66 | $0.0110 |
| USD | 02/05/2021 | 02/08/2021 | 02/15/2021 | $8.80 | $0.0110 |
| USD | 01/08/2021 | 01/11/2021 | 01/18/2021 | $8.64 | $0.0180 |
| USD | 12/07/2020 | 12/08/2020 | 12/15/2020 | $8.08 | $0.0130 |
| USD | 11/06/2020 | 11/09/2020 | 11/16/2020 | $7.58 | $0.0080 |
| USD | 10/07/2020 | 10/08/2020 | 10/15/2020 | $7.26 | $0.0190 |
| USD | 09/07/2020 | 09/08/2020 | 09/15/2020 | $7.16 | $0.0180 |
| USD | 08/07/2020 | 08/10/2020 | 08/17/2020 | $7.21 | $0.0090 |
| USD | 07/07/2020 | 07/08/2020 | 07/15/2020 | $6.92 | $0.0180 |
| USD | 06/05/2020 | 06/08/2020 | 06/15/2020 | $7.13 | $0.0180 |
| USD | 05/07/2020 | 05/08/2020 | 05/15/2020 | $6.47 | $0.0090 |
| USD | 04/07/2020 | 04/08/2020 | 04/16/2020 | $6.31 | $0.0250 |
| USD | 03/06/2020 | 03/09/2020 | 03/16/2020 | $6.56 | $0.0300 |
| USD | 02/07/2020 | 02/10/2020 | 02/17/2020 | $8.20 | $0.0330 |
| USD | 01/08/2020 | 01/09/2020 | 01/16/2020 | $8.57 | $0.0340 |
| USD | 12/06/2019 | 12/09/2019 | 12/16/2019 | $8.36 | $0.0340 |
| USD | 11/07/2019 | 11/08/2019 | 11/15/2019 | $8.49 | $0.0300 |
| USD | 10/07/2019 | 10/08/2019 | 10/15/2019 | $7.68 | $0.0300 |
| USD | 09/06/2019 | 09/09/2019 | 09/16/2019 | $7.81 | $0.0290 |
| USD | 08/07/2019 | 08/08/2019 | 08/15/2019 | $7.69 | $0.0300 |
| USD | 07/05/2019 | 07/08/2019 | 07/15/2019 | $8.16 | $0.0390 |
| USD | 06/07/2019 | 06/10/2019 | 06/17/2019 | $8.04 | $0.0300 |
| USD | 05/07/2019 | 05/08/2019 | 05/15/2019 | $8.30 | $0.0290 |
| USD | 04/05/2019 | 04/08/2019 | 04/15/2019 | $8.47 | $0.0290 |
| USD | 03/07/2019 | 03/08/2019 | 03/15/2019 | $8.15 | $0.0290 |
| USD | 02/07/2019 | 02/08/2019 | 02/15/2019 | $8.15 | $0.0290 |
| USD | 01/08/2019 | 01/09/2019 | 01/16/2019 | $8.06 | $0.0280 |
| USD | 12/07/2018 | 12/10/2018 | 12/17/2018 | $8.00 | $0.0310 |
| USD | 11/07/2018 | 11/08/2018 | 11/15/2018 | $8.66 | $0.0320 |
| USD | 10/05/2018 | 10/08/2018 | 10/15/2018 | $9.05 | $0.0330 |
| USD | 09/07/2018 | 09/10/2018 | 09/17/2018 | $9.04 | $0.0320 |
| USD | 08/07/2018 | 08/08/2018 | 08/15/2018 | $9.42 | $0.0300 |
| USD | 07/06/2018 | 07/09/2018 | 07/16/2018 | $9.31 | $0.0390 |
| USD | 06/07/2018 | 06/08/2018 | 06/15/2018 | $9.45 | $0.0300 |
| USD | 05/07/2018 | 05/08/2018 | 05/15/2018 | $9.46 | $0.0280 |
| USD | 04/06/2018 | 04/09/2018 | 04/16/2018 | $9.44 | $0.0290 |
| USD | 03/07/2018 | 03/08/2018 | 03/15/2018 | $9.62 | $0.0290 |
| USD | 02/07/2018 | 02/08/2018 | 02/15/2018 | $9.40 | $0.0290 |
| USD | 01/08/2018 | 01/09/2018 | 01/16/2018 | $9.77 | $0.0290 |
| USD | 12/07/2017 | 12/08/2017 | 12/15/2017 | $9.37 | $0.0300 |
| USD | 11/07/2017 | 11/08/2017 | 11/15/2017 | $9.30 | $0.0320 |
| USD | 10/06/2017 | 10/09/2017 | 10/16/2017 | $9.38 | $0.0320 |
| USD | 09/07/2017 | 09/08/2017 | 09/15/2017 | $9.18 | $0.0320 |
| USD | 08/07/2017 | 08/08/2017 | 08/15/2017 | $9.32 | $0.0300 |
| USD | 07/07/2017 | 07/10/2017 | 07/17/2017 | $9.07 | $0.0300 |
| USD | 06/07/2017 | 06/08/2017 | 06/15/2017 | $8.97 | $0.0300 |
| USD | 05/05/2017 | 05/08/2017 | 05/15/2017 | $8.93 | $0.0290 |
| USD | 04/07/2017 | 04/10/2017 | 04/18/2017 | $8.59 | $0.0290 |
| USD | 03/07/2017 | 03/08/2017 | 03/15/2017 | $8.54 | $0.0290 |
| USD | 02/07/2017 | 02/08/2017 | 02/15/2017 | $8.38 | $0.0290 |
| USD | 01/06/2017 | 01/09/2017 | 01/16/2017 | $8.38 | $0.0290 |
| USD | 12/07/2016 | 12/08/2016 | 12/15/2016 | $8.28 | $0.0310 |
| USD | 11/07/2016 | 11/08/2016 | 11/15/2016 | $7.92 | $0.0310 |
| USD | 10/07/2016 | 10/10/2016 | 10/17/2016 | $8.10 | $0.0310 |
| USD | 09/07/2016 | 09/08/2016 | 09/15/2016 | $8.24 | $0.0310 |
| USD | 08/05/2016 | 08/08/2016 | 08/15/2016 | $7.98 | $0.0370 |
| USD | 07/07/2016 | 07/08/2016 | 07/15/2016 | $7.61 | $0.0370 |
| USD | 06/07/2016 | 06/08/2016 | 06/15/2016 | $8.19 | $0.0280 |
| USD | 05/06/2016 | 05/09/2016 | 05/16/2016 | $7.90 | $0.0280 |
| USD | 04/07/2016 | 04/08/2016 | 04/15/2016 | $7.93 | $0.0280 |
| USD | 03/07/2016 | 03/08/2016 | 03/15/2016 | $7.90 | $0.0280 |
| USD | 02/05/2016 | 02/08/2016 | 02/15/2016 | $7.33 | $0.0280 |
| USD | 01/08/2016 | 01/11/2016 | 01/18/2016 | $7.87 | $0.0280 |
| USD | 12/07/2015 | 12/08/2015 | 12/15/2015 | $8.53 | $0.0280 |
| USD | 11/06/2015 | 11/09/2015 | 11/16/2015 | $8.83 | $0.0280 |
| USD | 10/07/2015 | 10/08/2015 | 10/15/2015 | $8.88 | $0.0310 |
| USD | 09/07/2015 | 09/08/2015 | 09/15/2015 | $8.84 | $0.0310 |
| USD | 08/07/2015 | 08/10/2015 | 08/17/2015 | $9.72 | $0.0310 |
| USD | 07/07/2015 | 07/08/2015 | 07/15/2015 | $9.25 | $0.0310 |
| USD | 06/05/2015 | 06/08/2015 | 06/15/2015 | $9.83 | $0.0310 |
| USD | 05/07/2015 | 05/08/2015 | 05/15/2015 | $10.07 | $0.0060 |
Pricing
Pricing History Chart
- 1 Month
- 3 Months
- 6 Months
- YTD
- 1 Year
- 3 Years
- 5 Years
- Since Inception
November 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
November 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
Chart
Past performance does not predict future returns. 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. Historical pricing details provided are in share class currency, calculated NAV, taking into account of reinvestments and capital gain or loss. Sales charges and other commissions, other taxes and relevant costs to be paid by an investor are not included in the calculations.
Highest / Lowest NAV
| Year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 |
|---|---|---|---|---|---|---|---|---|---|---|
| Highest NAV | $10.78 As on 11/03/2025 | $9.47 As on 10/18/2024 | $8.29 As on 07/31/2023 | $9.10 As on 02/16/2022 | $9.25 As on 06/04/2021 | $8.66 As on 01/02/2020 | $8.63 As on 12/27/2019 | $10.24 As on 01/26/2018 | $9.52 As on 12/29/2017 | $8.41 As on 04/21/2016 |
| Lowest NAV | $8.22 As on 04/08/2025 | $8.03 As on 01/17/2024 | $7.25 As on 10/27/2023 | $6.68 As on 09/30/2022 | $8.25 As on 01/29/2021 | $5.43 As on 03/23/2020 | $7.41 As on 08/15/2019 | $7.57 As on 12/24/2018 | $8.35 As on 01/03/2017 | $7.13 As on 02/11/2016 |
Historical Data - Daily Fund Prices
- 1 Month
- 3 Months
- 6 Months
- YTD
- 1 Year
- 3 Years
- 5 Years
- Since Inception
November 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
November 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
Historical Pricing Results From 10/06/2025 To 11/06/2025
| Date | NAV | NAV Change | NAV Change (%) |
|---|---|---|---|
| 11/06/2025 | $10.48 | $-0.13 | -1.23% |
| 11/05/2025 | $10.61 | $-0.02 | -0.19% |
| 11/04/2025 | $10.63 | $-0.15 | -1.39% |
| 11/03/2025 | $10.78 | $0.05 | 0.47% |
| 10/31/2025 | $10.73 | $0.06 | 0.56% |
| 10/30/2025 | $10.67 | $-0.09 | -0.84% |
| 10/29/2025 | $10.76 | $-0.02 | -0.19% |
| 10/28/2025 | $10.78 | $0.00 | 0.00% |
| 10/27/2025 | $10.78 | $0.13 | 1.22% |
| 10/24/2025 | $10.65 | $0.06 | 0.57% |
| 10/23/2025 | $10.59 | $0.07 | 0.67% |
| 10/22/2025 | $10.52 | $-0.07 | -0.66% |
| 10/21/2025 | $10.59 | $0.01 | 0.09% |
| 10/20/2025 | $10.58 | $0.12 | 1.15% |
| 10/17/2025 | $10.46 | $0.00 | 0.00% |
| 10/16/2025 | $10.46 | $0.00 | 0.00% |
| 10/15/2025 | $10.46 | $0.06 | 0.58% |
| 10/14/2025 | $10.40 | $0.00 | 0.00% |
| 10/13/2025 | $10.40 | $0.18 | 1.76% |
| 10/10/2025 | $10.22 | $-0.31 | -2.94% |
| 10/09/2025 | $10.53 | $-0.03 | -0.28% |
| 10/08/2025 | $10.56 | $0.07 | 0.67% |
| 10/07/2025 | $10.49 | $-0.08 | -0.76% |
| 10/06/2025 | $10.57 | $0.00 | 0.00% |
Documents
Product Literature
Fact Sheet - Templeton Global Leaders Fund (N (Mdis) USD)
Ficha Comercial - Templeton Global Leaders Fund (N (Mdis) USD)
Ficha commercial - Templeton Global Leaders Fund (N (Mdis) USD)
Regulatory Documents
Folleto Informativo - Franklin Templeton Investment Funds (FTIF)
Prospectus - Franklin Templeton Investment Funds (FTIF)
Key Information Document - Templeton Global Leaders Fund N (Mdis) USD
Semi Annual Report (full) - Franklin Templeton Investment Funds (FTIF)
Annual Report (full) - Franklin Templeton Investment Funds (FTIF)
Articles of Incorporation - Franklin Templeton Investment Funds (FTIF)
Important Information
This fund meets the requirements under Article 8 of the EU Sustainable Finance Disclosure Regulation (SFDR); the fund has binding commitments in its investment policy to promote environmental and/or social characteristics and any companies in which it invests should follow good governance practices.
Further information in relation to the sustainability-related aspects of the Fund can be found at franklintempleton.lu/SFDR. Please review all of the fund's objectives and characteristics before investing.
This material is intended to be of general interest only and should not be construed as investment advice. It does not constitute legal or tax advice and it is not an offer for shares or an invitation to apply for shares of the Luxembourg-domiciled SICAV Franklin Templeton Investment Funds (the "Fund” or “FTIF"). For the avoidance of doubt, if you make a decision to invest, you will be buying units/shares in the fund and will not be investing directly in the underlying assets of the fund.
Franklin Templeton (“FT”) provides no guarantee or assurance that the Fund’s investment objective will be attained. 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 does not predict future returns. Currency fluctuations may cause the value of a Fund’s investments to diminish or increase.
FT shall not be liable to any user of this document or to any other person or entity for the inaccuracy of information or any errors or omissions in its contents, regardless of the cause of such inaccuracy, error or omission. Any 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 material has been procured by FT for its own purposes and is provided to you only incidentally. Data from third party sources may have been used in the preparation of this document and FT has not independently verified, validated or audited such data.
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 public distribution in all jurisdictions and prospective investors, who are not financial professionals, should consult their financial advisor before deciding to invest. The Fund may use financial derivatives or other instruments which may entail specific risks more fully described in the Fund's Documents.
Subscriptions to shares of the Fund should only be made on the basis of the Fund’s current Prospectus, and, where available, the relevant KID, accompanied by the latest available audited annual report and the latest semi-annual report if published thereafter. These documents can be found on our website at www.franklinresources.com/all-sites, obtained, free of charge, from your local FT representative or can be requested via FT's European Facilities Service which is available at www.eifs.lu/franklintempleton. The Fund's documents are available in English, Arabic, French, German, Italian, Polish and Spanish.
In addition, a Summary of Investor Rights is available from www.franklintempleton.lu/summary-of-investor-rights. The summary is available in English.
The sub-funds of FTIF are notified for marketing in multiple EU Member States under the UCITS Directive. FTIF can terminate such notifications for any share class and/or sub-fund at any time by using the process contained in Article 93a of the UCITS Directive.
Franklin Templeton International Services S.à r.l. – Supervised by the Commission de Surveillance du Secteur Financier - 8A, rue Albert Borschette, L-1246 Luxembourg - Tel: +352 46 66 67-1 - Fax: +352 46 66 76.
CFA® and Chartered Financial Analyst® are trademarks owned by CFA Institute.
Indices are unmanaged, and one cannot invest directly in an index. They do not reflect any fees, expenses or sales charges.
Important data provider notices and terms available at www.franklintempletondatasources.com.
Source: MSCI makes no warranties and shall have no liability with respect to any MSCI data reproduced herein. No further redistribution or use is permitted. This report is not prepared or endorsed by MSCI.
In the U.S., this material is made available to you for informational purposes only by Franklin Distributors LLC, member FINRA/SIPC, One Franklin Parkway, San Mateo, California 94403-1906. One Franklin Parkway, San Mateo, California 94403-1906. Tel: (800) 239-3894 (USA Toll-Free), (877) 389-0076 (Canada Toll-Free), and Fax: (727) 299-8736.
Investments are not FDIC insured; may lose value and are not bank guaranteed. Distribution outside the U.S. may be made by Franklin Templeton International Services, S.a.R.L. ("FTIS"), or other sub-distributors, intermediaries, dealers or professional investors that have been engaged by Templeton Global Advisors Limited to distribute shares of Franklin Templeton funds in certain jurisdictions. This is not an offer to sell or a solicitation of an offer to purchase securities in any jurisdiction where it would be illegal to do so.
Net Returns (NR) include income net of tax withholding when dividends are paid.
Investors should consider the fund's investment objectives, risks, charges and expenses carefully before investing. Find this and other information in the prospectus available on this webpage. Read it carefully.
Footnotes
The above listed Funds prices are unconfirmed unless stated otherwise and for information only, as they have not yet been verified by the Administrative Agent of the relevant Funds. Neither the Fund itself nor Franklin Templeton accepts responsibility for any reliance placed on the prices indicated and the information included in this data file. Purchase, exchange and redemptions of Shares can only be made on the basis of confirmed prices. Confirmed prices may be obtained after 12pm noon from Franklin Templeton.
The Distribution Yield is based on the most recent month’s distribution and shown as an annualized percentage as of the date shown. It does not include any preliminary charge and investors may be subject to tax on distributions. Information is historical and may not reflect current or future distributions.
The Ongoing Charges Figure (OCF) includes the fees paid to the management company, the investment manager and the depository, as well as certain other expenses. The OCF is calculated by taking the relevant main material costs paid out over the 12-month period indicated and dividing them by the average net assets over the same period. The OCF does not include all expenses paid by the fund (for example, it does not include what the fund pays for buying and selling securities). For a comprehensive list of the types of costs deducted from fund assets, see the prospectus. For recent all-in annual costs, as well as hypothetical performance scenarios that show the effects that different levels of return could have on an investment in the fund, see the KID.
The charges are the fees the fund charges to investors to cover the costs of running the Fund. Additional costs, including transaction fees, will also be incurred. These costs are paid out by the Fund, which will impact on the overall return of the Fund.
Fund charges will be incurred in multiple currencies, meaning that payments may increase or decrease as a result of currency exchange fluctuations.
All charges will be paid out by the Fund, which will impact on the overall return of the Fund.Price to Earnings (12-mo Trailing) measures the current price to earnings ratio (P/E) relative to the trailing 12 months of reported earnings.

