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Fund details

FTIF Templeton Global Equity Income Fd A (mdis) SGD

The Fund aims to provide a combination of current income and long-term capital appreciation by investing, under normal market conditions, in a diversified portfolio of equity securities worldwide.
Fund Information
  • Asset Class:Equities
  • Sector:Dividend Yield
  • Geography:Global
  • Benchmark index:MSCI All Country World Index
  • Launch Date:25 Oct 2007
  • Launch Price:10
  • Fund Currency:SGD
  • Fund Source: CASH,SRS-IA
  • CPF Risk Classification:
  • Price Made Known On:T+2
  • Price Type:Net Asset Value
  • Dealing Cut Off Time:3:00PM Spore Time
Information
Cash CPFOA-IA CPFSA-IA SRS-IA
Minimum Investment AmountSGD 1000--SGD 1000
Minimum Subsequent InvestmentSGD 500--SGD 500
Minimum Redemption Amount ($)/units0 Unit(s)--0 Unit(s)
Relevant Charges
Cash CPFOA-IA CPFSA-IA SRS-IA
POEMS Sales Charge0%--0%
Internal Switch-in Charge/Min Switch-in Charge0.00 % / $ 0.00--0.00 % / $ 0.00
External Switch-in ChargeNA--NA
Redemption/Realisation ChargeNA--NA
Annual Management Fee1.5%--1.5%
Annual Trustee Fee--
Expense Ratio1.88%--1.88%
Fund Manager Sales ChargeNA--NA
Admin FeeNA--NA
Information
Period Performance (%) Volatility (%) Ratio
1 Year NA 15.99 NA
2 Years NA 20.77 NA
3 Years 22.00 26.23 0.84
5 Years NA 36.67 NA
10 Years NA NA NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Information
Morningstar Ratings
Overall
3 Years
5 Years
10 Years

PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
YTD3.5120.68275.14
1 Day0.71943.1840.23
1 Week1.26581.95890.65
1 Month-1.40854.2206-0.33
3 Months2.56415.47620.47
6 Months7.69239.75960.79
1 Year-12.087915.9914-0.76
2 Years-12.225720.7653-0.59
3 Years22.004426.23360.84
5 Years-12.772636.6737-0.35
10 Yearsnan

ANNUALIZED PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
1 YearNA15.9914NA
2 Years-6.312114.6833-0.43
3 Years6.854215.1460.45
5 Years-2.69616.401-0.16
10 YearsNA-1NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Dividend Information

Dividends shall be credited to your account about 10 working days from the 'Payment Date' seen below.

Ex Date Payment Date Dividend Payout per unit
8 Mar 202315 Mar 20230.016000000
8 Feb 202315 Feb 20230.006000000
9 Jan 202316 Jan 20230.005000000
8 Dec 202215 Dec 20220.014000000
8 Nov 202215 Nov 20220.004000000
10 Oct 202217 Oct 20220.009000000
8 Sep 202215 Sep 20220.013000000
8 Aug 202216 Aug 20220.004000000
8 Jul 202215 Jul 20220.006000000
8 Jun 202215 Jun 20220.027000000
9 May 202216 May 20220.009000000
8 Apr 202219 Apr 20220.014000000
8 Mar 202215 Mar 20220.013000000
8 Feb 202215 Feb 20220.002000000
10 Jan 202217 Jan 20220.006000000
8 Dec 202115 Dec 20210.008000000
8 Nov 202115 Nov 20210.002000000
8 Oct 202115 Oct 20210.018000000
8 Sep 202115 Sep 20210.008000000
10 Aug 202116 Aug 20210.003000000
8 Jul 202115 Jul 20210.004000000
8 Jun 202115 Jun 20210.019000000
10 May 202117 May 20210.006000000
9 Apr 202116 Apr 20210.010000000
8 Mar 202115 Mar 20210.008000000
8 Feb 202115 Feb 20210.008000000
11 Jan 202118 Jan 20210.013000000
8 Dec 202015 Dec 20200.010000000
9 Nov 202016 Nov 20200.006000000
8 Oct 2020-0.014000000
8 Sep 202015 Sep 20200.013000000
10 Aug 202017 Aug 20200.007000000
8 Jul 202015 Jul 20200.013000000
8 Jun 202015 Jun 20200.014000000
8 May 202015 May 20200.007000000
8 Apr 202016 Apr 20200.019000000
9 Mar 202016 Mar 20200.022000000
10 Feb 202017 Feb 20200.024000000
9 Jan 202016 Jan 20200.024000000
9 Dec 201916 Dec 20190.025000000
8 Nov 201915 Nov 20190.022000000
8 Oct 201915 Oct 20190.022000000
9 Sep 201916 Sep 20190.021000000
8 Aug 201915 Aug 20190.022000000
8 Jul 201915 Jul 20190.028000000
10 Jun 201917 Jun 20190.022000000
8 May 201915 May 20190.021000000
8 Apr 201915 Apr 20190.021000000
8 Mar 201915 Mar 20190.021000000
8 Feb 201915 Feb 20190.021000000
9 Jan 201916 Jan 20190.020000000
10 Dec 201817 Dec 20180.022000000
8 Nov 201815 Nov 20180.023000000
8 Oct 201815 Oct 20180.024000000
10 Sep 201817 Sep 20180.023000000
8 Aug 201815 Aug 20180.022000000
9 Jul 201816 Jul 20180.028000000
8 Jun 201815 Jun 20180.021000000
8 May 201815 May 20180.020000000
9 Apr 201816 Apr 20180.020000000
8 Mar 201815 Mar 20180.020000000
8 Feb 201815 Feb 20180.020000000
9 Jan 201816 Jan 20180.020000000
8 Dec 201715 Dec 20170.021000000
8 Nov 201715 Nov 20170.023000000
9 Oct 201716 Oct 20170.023000000
8 Sep 201715 Sep 20170.023000000
8 Aug 201715 Aug 20170.021000000
10 Jul 201717 Jul 20170.021000000
8 Jun 201715 Jun 20170.021000000
8 May 201715 May 20170.021000000
10 Apr 201718 Apr 20170.021000000
8 Mar 201715 Mar 20170.021000000
8 Feb 201715 Feb 20170.021000000
9 Jan 201716 Jan 20170.022000000
8 Dec 201615 Dec 20160.023000000
8 Nov 201615 Nov 20160.022000000
10 Oct 201617 Oct 20160.022000000
8 Sep 201615 Sep 20160.022000000
8 Aug 201615 Aug 20160.026000000
8 Jul 201615 Jul 20160.026000000
8 Jun 201615 Jun 20160.020000000
9 May 201616 May 20160.020000000
8 Apr 201615 Apr 20160.020000000
8 Mar 201615 Mar 20160.020000000
8 Feb 201615 Feb 20160.021000000
11 Jan 201618 Jan 20160.021000000
8 Dec 201515 Dec 20150.021000000
9 Nov 201516 Nov 20150.020000000
8 Oct 201515 Oct 20150.023000000
8 Sep 201515 Sep 20150.023000000
10 Aug 201517 Aug 20150.022000000
8 Jul 201515 Jul 20150.022000000
8 Jun 201515 Jun 20150.022000000
8 May 201515 May 20150.021000000
9 Apr 201516 Apr 20150.022000000
9 Mar 201516 Mar 20150.022000000
9 Feb 201516 Feb 20150.022000000
9 Jan 201516 Jan 20150.064000000
8 Oct 201415 Oct 20140.062000000
8 Jul 201415 Jul 20140.048000000
8 Apr 201415 Apr 20140.049000000
9 Jan 201416 Jan 20140.049000000
8 Oct 201315 Oct 20130.052000000
8 Jul 201315 Jul 20130.106000000
8 Apr 201315 Apr 20130.047000000
9 Jan 201316 Jan 20130.005000000
8 Oct 201215 Oct 20120.018000000
9 Jul 201216 Jul 20120.056000000
11 Apr 201218 Apr 20120.032000000
9 Jan 201216 Jan 20120.018000000
10 Oct 201117 Oct 20110.027000000
8 Jul 201115 Jul 20110.081000000
10 Jan 201117 Jan 20110.032000000
8 Oct 201015 Oct 20100.028000000
8 Jul 201015 Jul 20100.061000000
8 Jan 201015 Jan 20100.026000000
8 Oct 200915 Oct 20090.030000000
8 Jul 200915 Jul 20090.069000000
8 Apr 200915 Apr 20090.017000000
8 Jan 200915 Jan 20090.031000000
8 Oct 200815 Oct 20080.098000000
8 Jul 200815 Jul 20080.064000000
8 Apr 2008-0.086000000
8 Jan 2008-0.083000000

Fund Name:FTIF Templeton Global Equity Income Fd A (mdis) SGD

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Templeton Asset Management Ltd

Templeton Asset Management Ltd

  • Address7 TEMASEK BOULEVARD
  •  #38-03 SUNTEC CITY TOWER ONE
  • Tel:65 6241 2662
  • Fax:65 6332 2295
  • URLwww.franklintempleton.sg

About Fund Manager

Franklin Resources, Inc., known as Franklin Templeton Investments, is a global investment management organization offering a wide range of investment advisory services to individuals, institutions, pension plans, trusts, partnerships and other clients. Headquartered in San Mateo, California, Franklin Templeton has offices in 30 countries and offers investment products and services in more than 170. Franklin Resources, Inc., is a member of the S&P 500 Index. Its common stock is listed on the New York Stock Exchange and Pacific exchanges under the ticker symbol "BEN".

Fund Name

CASH

CPF OA-IA

CPF SA-IA

SRS-IA

Min Initial Investment Require/Amount

1 Year Return

 

FTIF Templeton Global Equity Income Fd A (mdis) SGD

500(M)
500(Q)

(M)
(Q)

(M)
(Q)

500(M)
500(Q)

Yes

-

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