Franklin Japan Fund (EUR)

 

Basic information

  • Price per share
  • (10/23/2020) 6.9100 EUR
  • Year max
  • (2/7/2020) 7.4100 EUR
  • Year min
  • (3/16/2020) 5.2100 EUR
  • Invest company
  • Franklin Templeton Investments
  • Inception date
  • 10/25/2005
  • Registration country
  • Luxembourg
  • Total assets

Investment policy

  • Asset class
  • Equity
  • Regional focus
  • Developed Markets
    Japan
  • Theme
  • Dividend policy
  • Accumulation
  • Currency
  • EUR

Information about fees and costs

  • Fee category
  • Dynamic
  • TER
  • 1.89 %
  • Management fee
  • 1.00 %

Target markets

  • Investment period
  • Min. 5 years
  • Investment preferences
  • Growth
  • Ability to accept the loss
  • Yes
  • Risk profile
  • Risk Profile 6
  • Client category
  • Retail
    Professional
    Eligible Counterparty
  • Knowledge and experience
  • Basic
    Informed
    Advanced

Cumulative performance (%)

  • 1 week
  • -0.58 %
  • 1 month
  • -0.43 %
  • 3 months
  • 4.22 %
  • 6 months
  • 7.30 %
  • Year to date
  • -3.36 %
  • 1 year
  • -1.99 %
  • 2 years
  • -2.26 %
  • 3 years
  • -4.43 %
  • 5 years
  • 10 years
  • Since inception (10/25/2005)

Average performance (% p.a.)

  • 2 years
  • -1.14 %
  • 3 years
  • -1.50 %
  • 5 years
  • 10 years
  • Since inception (10/25/2005)
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