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Templeton Global Bond Fund  – 
GlBond A : Newspaper symbol TPINX : NASDAQ symbol Fixed Income : Fund Category
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Performance Expense Ratio and Sales Charges
Performance data quoted represents past performance, which does not guarantee future results. Current performance may differ from figures shown. Investment return and principal value will fluctuate with market conditions, and you may have a gain or loss when you sell your shares.
Hypothetical $10,000 investment
$10,000 invested in the fund at inception, with all dividend and capital gain distributions reinvested, including sales charges, would be worth:
$62,143.00
as of September 30, 2009
(updated quarterly)
Inception Date 2
September 18, 1986
Fund's Benchmark3
A benchmark is a comparable broad-based index that can be used in evaluating a fund's performance.
Citigroup World Government Bond Index
Max. Initial Sales Charge
4.25%
To view historical performance information, choose a month and year and click "Go."
Annual Total Return
(For the past 10 years or since inception for younger funds)
  Results in % 2008 2007 2006 2005 2004 2003 2002 2001 2000 1999
  Including all sales charges 1.73 6.15 8.66 -7.16 9.78 16.11 14.98 -0.30 -1.54 -8.87
  Without sales charges 6.28 10.86 13.51 -3.07 14.62 21.29 20.03 4.18 2.79 -4.83
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Important Legal Information
Changes in interest rates will affect the value of the Templeton Global Bond Fund's portfolio and its share price and yield. Bond prices generally move in the opposite direction from interest rates. Thus, as the prices of bonds in the fund adjust to a rise in interest rates, the fund's share price may decline. Special risks are associated with foreign investments, including currency fluctuations, economic instability and political developments. Investments in developing markets involve heightened risks related to the same factors, in addition to those associated with these markets' smaller size and lesser liquidity. The fund's use of foreign currency techniques involve special risks as such techniques may not achieve the anticipated benefits and/or may result in losses to the fund. The risks associated with higher-yielding, lower-rated securities include higher risk of default and loss of principal. These and other risk considerations are discussed in the fund's prospectus.
For more information on any of our funds, contact your financial advisor or download a free prospectus. Investors should carefully consider a fund's investment goals, risks, sales charges and expenses before investing. The prospectus contains this and other information. Please read the prospectus carefully before investing or sending money.
Footnotes
1.  After-tax average annual total returns represent the average change in value of an investment on an annualized basis. Returns are calculated using the highest individual federal income tax rates; state and local taxes are not considered. Your actual after-tax returns depend on your particular tax situation and may differ from those shown. The before shares sold calculation assumes taxes are paid on fund distributions (dividends and capital gains) but does not reflect taxes that may be incurred upon sale or exchange of shares. The after shares sold calculation also adjusts for taxes due if the fund investment is sold at the end of the measurement period.
2.  For performance reporting purposes, the inception date for Classes A, R, Z and Advisor Class shares of all Franklin Templeton Funds is the date of effectiveness of the fund's registration statement or the first day the fund commenced operations. For Classes B and C shares of those funds, except Mutual Series, Class B of the Franklin Income Fund, and Class C of the Franklin International Small Cap Growth Fund and the Franklin Large Cap Equity Fund, inception date is the first day the fund commenced offering such shares. Franklin Income Fund Class B uses the inception date of the old Class B shares, renamed Class B1, for performance reporting purposes. For Mutual Series Funds and Franklin International Small Cap Growth and Franklin Large Cap Equity Funds, the inception date for Classes A, B, C and R shares is the funds' oldest class', Z or Advisor, inception date.
3.  Indices are unmanaged and one cannot invest directly in them.
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