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Templeton Emerging Markets A (Ydis) USD

Ranked 47 out of 296 in - Global Emerging Markets over 12 months
All calculations are in GBP unless stated

Managed by

Chetan Sehgal

Chetan Sehgal is an executive vice president and the director of Global Emerging Markets and Small Cap Strategies for the Templeton Emerging Markets Group. In this capacity, he is responsible for strengthening the overall Global Emerging Markets and Small Cap strategies, providing guidance and thought leadership, coordinating appropriate resources and coverage, and leveraging the group's expertise to add value across products within the strategies. Prior to joining Franklin Templeton, Mr. Sehgal was a senior ratings analyst for the Credit Rating Information Services of India, Ltd. Mr. Sehgal earned a BE mechanical (honors) from University of Bombay and a post-graduate diploma in management from the Indian Institute of Management in Bangalore, where he specialized in finance and business policy and graduated as an institute scholar. Mr. Sehgal speaks English and Hindi and is a CFA charterholder.

Objective

The Fund's investment objective is capital appreciation. The Fund seeks to achieve its objective through a policy of investing primarily in equity securities, and as an ancillary matter in debt obligations, issued by corporations incorporated or having their principal business activities in, and governments of, developing or emerging nations.

Showing fund performance in United Kingdom View performance globally

Performance

Global Emerging Markets over : 30/04/2018 - 30/04/2019

Total Return

Quarterly Performance

to 31/03/2019 Annual Q1 Q2 Q3 Q4
2019 9.8%
2018 -11.9% -3.8% -2.2% 1.1% -7.4%
2017 26.1% 10.7% 2.4% 4.6% 6.3%
2016 39.3% 8.4% 12.5% 13.0% 1.1%
2015 -15.1% 5.8% -8.4% -16.2% 4.5%
2014 -2.2% -4.1% 1.1% 2.0% -1.1%
2013 -3.1% 8.0% -8.5% -2.3% 0.4%
2012 6.7% 7.5% -8.1% 3.3% 4.6%
2011 -15.3% -1.0% -0.8% -18.9% 6.4%
2010 19.3% 9.4% -10.9% 12.9% 8.4%
2009 52.9% -2.4% 14.4% 25.5% 9.1%
2008 -34.7% -15.1% -1.4% -11.6% -11.8%
2007 25.7% 1.0% 10.6% 8.3% 3.9%
2006 11.4% 10.0% -10.9% 2.8% 10.6%
2005 41.5% 4.1% 8.9% 14.2% 9.3%
2004 14.0% 3.1% -4.5% 7.0% 8.2%
2003 36.3% -3.9% 15.4% 11.6% 10.1%
2002 -9.7% 13.4% -10.6% -15.7% 5.7%
2001 -4.3% -1.4% 8.5% -21.9% 14.6%
2000 -27.3% -5.7% -5.7% -9.8% -9.4%
1999 56.4% 10.3% 32.9% -17.7% 29.5%
1998 -16.5% 5.7% -22.7% -19.8% 27.3%
1997 -18.5% 13.0% 5.8% -0.8% -31.3%
1996 9.7% 11.7% 2.9% -1.9% -2.8%
1995 -3.3% -12.0% 10.9% 2.5% -3.3%
1994 -16.1% -4.1% -12.5% 12.0% -10.7%
1993 82.3% 10.2% 18.9% 15.9% 20.0%
1992 17.8% 9.5% -4.8% -0.8% 13.9%
1991 1.5% -12.5% 5.0%

Month by Month Performance

Returns Vs Risk

Asset Allocation

Breakdown

31/03/2019

Top 10 Holdings

Stock Size
Samsung Electronics Co Ltd ORD 6.76%
Taiwan Semiconductor Manufacturing Co Ltd ORD 6.58%
Naspers Ltd ORD 6.09%
Alibaba Group Holding Ltd DR 4.83%
ICICI Bank Ltd ORD 3.43%
Unilever PLC ORD 3.42%
Brilliance China Automotive Holdings Ltd ORD 3.20%
Tencent Holdings Ltd ORD 2.88%
Cognizant Technology Solutions Corp ORD 2.30%
National Bank of Canada Time/Term Deposit 2.29%
31/03/2019

Registered For Sale In

  1. Austria
  2. Belgium
  3. Chile
  4. Cyprus
  5. Czech Republic
  6. Denmark
  7. Estonia
  8. Finland
  9. France
  10. Germany
  11. Gibraltar
  12. Greece
  13. Hong Kong
  14. Hungary
  15. Ireland
  16. Italy
  17. Jersey
  18. Korea
  19. Latvia
  20. Liechtenstein
  21. Lithuania
  22. Luxembourg
  23. Macau
  24. Netherlands
  25. Norway
  26. Peru
  27. Poland
  28. Portugal
  29. Singapore
  30. Slovakia
  31. South Africa
  32. Spain
  33. Sweden
  34. Switzerland
  35. Taiwan
  36. United Arab Emirates
  37. United Kingdom

Fund Info

  • Launch date28/02/1991
  • Share Class size224Mn
  • Base currencyUSD
  • ISIN LU0029874905

Purchase Info

  • Min. initial investment5,000
  • Min. regular additional investment0

Charges

  • Annual management1.15%

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Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).