Home
:
Help
:
Contact Us
:
Our Company
:
Careers
Franklin Templeton 2025 Retirement Target Fund
–
A Class
Advisor Class
C Class
R Class
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