SICAV Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Franklin Japan I Acc € -2% 0% 36% 27% 0% 261M 2015-06-30
Franklin Japan I Acc $ -1% 4% 11% 17% 0% 291M 2015-06-30
Franklin India X Acc $ -2% -3% 15% 2% 31% 3922M 2015-06-30
Franklin India I YDis € -3% -6% 40% 10% 13% 3520M 2015-06-30
Franklin India I Acc € -3% -6% 41% 11% 14% 3520M 2015-06-30
Franklin India I Acc $ -2% -3% 14% 2% 13% 3922M 2015-06-30
Franklin Income I YDis €-H1 -3% -1% -6% -1% 1% 3123M 2015-06-30
Franklin Income I Acc € -4% -5% 0% 0% 5% 3123M 2015-06-30
Franklin Income I Acc $ -3% -1% -6% -1% 6% 3479M 2015-06-30
Franklin High Yield X Acc $ -2% 0% -3% 1% 1% 3608M 2015-06-30
Franklin High Yield I MDis $ -2% 0% -4% 1% 7% 3608M 2015-06-30
Franklin High Yield I Acc €-H1 -2% 0% -3% 1% 5% 3238M 2015-06-30
Franklin High Yield I Acc $ -2% 0% -4% 1% 6% 3608M 2015-06-30
Franklin Gold and Prec Mtls I YDis $ -5% 3% -30% 0% -16% 88M 2015-06-30
Franklin Gold and Prec Mtls I Acc $ -5% 3% -31% 0% -16% 88M 2015-06-30
Franklin Global Sukuk X Qdis $ 0% 0% 1% 2% 4% 94M 2015-06-30
Franklin Global Sukuk I Acc $ 0% 0% 0% 1% 3% 94M 2015-06-30
Franklin Global Sm-Md Cap Gr X Acc $ 0% 3% -4% 10% 2% 270M 2015-06-30
Franklin Global Sm-Md Cap Gr I Acc $ 0% 3% -4% 9% 7% 270M 2015-06-30
Franklin Global Multi-Asset Inc I Qdis € -3% -3% 14% 7% 8% 113M 2015-06-30
Franklin Global Multi-Asset Inc I Acc € -3% -3% 14% 7% 8% 113M 2015-06-30
Franklin Global Lstd Infrs I Acc € -6% -5% 16% 6% 15% 14M 2015-06-30
Franklin Global Lstd Infrs I Acc £-H1 -4% -2% -4% -1% 7% 10M 2015-06-30
Franklin Global Lstd Infrs I Acc $ -4% -2% -5% -1% 7% 16M 2015-06-30
Franklin Global Hi Inc Bd I Acc € -3% -2% 11% 8% 9% 72M 2015-06-30
Franklin Global Hi Inc Bd I Acc $ -1% 0% -9% 0% 6% 80M 2015-06-30
Franklin Global Growth I Acc € H1 -2% 0% 2% 0% 8% 102M 2015-06-30
Franklin Global Growth I Acc € -3% -3% 25% 8% 11% 102M 2015-06-30
Franklin Global Growth I Acc £ -5% -4% 11% 0% 5% 72M 2015-06-30
Franklin Global Growth I Acc $ -2% 0% 2% 0% 3% 113M 2015-06-30

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