Funds & Commentary Retirement Center Products & Services Education & Planning Forms & Literature
Franklin Templeton 2025 Retirement Target Fund  – 
FTRTX : NASDAQ symbol Asset Allocation : Fund Category
Fund Prices : View Details  
as of 09/09/2010
(updated daily)
NAV (Net Asset Value) $9.82
NAV change $0.02
POP (Public Offering Price) $10.42
Fund Facts : View Details  
Max. initial sales load 5.75%
Inception date August 01, 2006
Fund Number 445
Fund Performance: View Details

For U.S. residents only.

For U.S. residents only. Terms of Use  |  Privacy Policy