Templeton Global Balanced Fund did not pay a quarterly dividend distribution in March 2016. For more information, please contact your financial advisor or call Franklin Templeton Investor Services at (800) 632-2301.
|Investment Category||Balanced / Hybrid|
|CUSIP||880 19R 799|
|Inception Date||Jul 01, 2005|
|Total Net Assets (all share classes) As of 04/30/2016||$2,339.3 (M)|
|Distribution Rate at NAV As of 05/27/2016||
|30-Day Standardized yield As of 04/30/2016 (updated monthly)|
|Gross Expense Ratio||
|Net Expense Ratio||
|Max Initial Sales Charge||
The fund seeks both income and capital appreciation by investing in a diversified portfolio of global bonds and equities, and offers a dynamic, bottom-up allocation process. The fund normally invests at least 25% of its assets in fixed income senior securities and at least 25% of its assets in equity securities. Templeton Global Macro and the Templeton Global Equity Group meet regularly to determine the allocation mix reflective of where the teams are finding what they consider to be the most attractive opportunities.
|Historical Style Current Style||Large||Size|
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