Templeton Releases Closed-End Funds' Portfolio Allocation Updates

Templeton Releases Closed-End Funds' Portfolio Allocation Updates

ID: 77965

(firmenpresse) - FORT LAUDERDALE, FL -- (Marketwire) -- 10/19/11 -- The Templeton closed-end Funds
referenced below, which trade on the New York Stock Exchange, today
released portfolio allocation updates containing the following information
as of September 30, 2011:





To obtain a copy of the updates, please contact Fund Information at
1-800-342-5236.

Templeton closed-end Funds:





The Funds' investment managers are subsidiaries of Franklin Resources, Inc.
(NYSE: BEN), a global investment management organization operating as
Franklin Templeton Investments. Franklin Templeton Investments provides
global and domestic investment management solutions managed by its
Franklin, Templeton, Mutual Series, Fiduciary Trust, Darby and Bissett
investment teams. The San Mateo, CA-based company has more than 60 years
of investment experience and over $659 billion in assets under management
as of September 30, 2011. For more information, please call 1-800/DIAL
BEN® or visit franklintempleton.com.





You may request a copy of the Fund's current Report to Shareholders by
contacting Fund Information at 1-800-DIAL BEN® (1-800-342-5236). Since
markets can go down as well as up, investment return and principal value
will fluctuate with market conditions, currency volatility, and the
economic, social and political climates of countries where the Fund
invests. Emerging markets involve heightened risks related to the same
factors, in addition to those associated with their relatively small size
and lesser liquidity. You may have a gain or loss when you sell your
shares. The industry allocation uses MSCI's industry definitions for the
convenience of comparison. The information provided is as of the date shown
and comes from sources considered reliable, but the Fund makes no
representation or warranty as to its completeness or accuracy. The Fund's




portfolio is actively managed and investment allocations can be expected to
change.

* Equity includes convertible and preferred securities.





You may request a copy of the Fund's current Report to Shareholders by
contacting Fund Information at 1-800/DIAL BEN® (1-800-342-5236). Since
markets can go down as well as up, investment return and principal value
will fluctuate with market conditions, currency volatility, and the
economic, social and political climates of countries where the Fund
invests. Emerging markets involve heightened risks related to the same
factors, in addition to those associated with their relatively small size
and lesser liquidity. You may have a gain or loss when you sell your
shares. The information provided is as of the date shown and comes from
sources considered reliable, but the Fund makes no representation or
warranty as to its completeness or accuracy. The weightings do not include
the impact of currency forwards within the country weightings. The Fund's
portfolio is actively managed and investment allocations can be expected to
change.





You may request a copy of the Fund's current Report to Shareholders by
contacting Fund Information at
1-800-DIAL BEN® (1-800-342-5236). Since markets can go down as well as
up, investment return and principal value will fluctuate with market
conditions, currency volatility, and the economic, social and political
climates of countries where the Fund invests. Emerging markets involve
heightened risks related to the same factors, in addition to those
associated with their relatively small size and lesser liquidity. You may
have a gain or loss when you sell your shares. The industry allocation uses
MSCI's industry definitions for the convenience of comparison. The
information provided is as of the date shown and comes from sources
considered reliable, but the Fund makes no representation or warranty as to
its completeness or accuracy. The Fund's portfolio is actively managed and
investment allocations can be expected to change.

* Equity includes convertible and preferred securities.



For more information, please contact
Franklin Templeton Investments
1-800-342-5236

Weitere Infos zu dieser Pressemeldung:

Themen in dieser Pressemitteilung:


Unternehmensinformation / Kurzprofil:
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Bereitgestellt von Benutzer: MARKET WIRE
Datum: 19.10.2011 - 14:11 Uhr
Sprache: Deutsch
News-ID 77965
Anzahl Zeichen: 0

contact information:
Town:

FORT LAUDERDALE, FL



Kategorie:

Commercial & Investment Banking



Diese Pressemitteilung wurde bisher 189 mal aufgerufen.


Die Pressemitteilung mit dem Titel:
"Templeton Releases Closed-End Funds' Portfolio Allocation Updates"
steht unter der journalistisch-redaktionellen Verantwortung von

Franklin Templeton (Nachricht senden)

Beachten Sie bitte die weiteren Informationen zum Haftungsauschluß (gemäß TMG - TeleMedianGesetz) und dem Datenschutz (gemäß der DSGVO).

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