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Templeton Growth Fund, Inc.

Fund Category: GlobalGo to Prices & Performance page
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Symbol TEPLX
CUSIP 880 199 104
Fund Number 101
Inception Date1 Nov 29, 1954
Distributions Annually
Total Net Assets
(all share classes)
As of 02/28/2014
$18,606.9
(millions)

As of  04/15/2014

NAV2 $25.24  
NAV Change -$0.13  
POP3 $26.78  
YTD Total Return at NAV 1.08%
Distribution Rate at NAV N/A
30-day Standardized Yield
N/A

Average Annual Total Returns
As of Quarter End 03/31/2014

w/ Sales Charge w/o Sales Charge
1 Yr 19.35% 26.61%
5 Yrs 18.32% 19.72%
10 Yrs 5.73% 6.35%
Life 12.53% 12.64%

Expense Ratio and Sales Charge As of 01/01/2014 (updated annually)

Gross Expense Ratio4 1.07%
Net Expense Ratio 1.07%
Max Initial Sales Charge 5.75%
CDSC 0.00%
12b-1 Fee 0.25%

Fund Description

Strategy Statement
Portfolio Managers
Norm J. Boersma
"For over five decades, Templeton Growth Fund has stayed true to the same disciplined bottom-up, value-oriented investment strategy when searching globally for stocks."

Norm J. Boersma, CFA®
Joined Franklin Templeton in 1991
Managed Fund since 2011

Strategy, Benefits, Results

Strategy

Our strategy is built upon the following Templeton cornerstones, which have been in place for more than 70 years.

  • Search Globally. We believe bargains have no borders when searching for the best investment opportunities.
  • Seek Value. We search worldwide for stocks selling at prices we believe are low relative to their true value.
  • Perform Fundamental, Bottom-Up Research. We conduct in-person visits and perform extensive fundamental research to model a company's potential future earnings, cash flow and asset value relative to its stock price.
  • Practice Patient, Long-Term Investing. We evaluate a company's potential for earnings and growth over a five-year horizon.

Benefits

  • Global Resources. Our global reach includes offices in Edinburgh, Nassau and Singapore, as well as Shanghai, Mumbai, Warsaw and Dubai.
  • Low Average Turnover Ratio. Our long-term investing approach has historically resulted in annual portfolio turnover ratios that have been considerably lower than the average for global funds.
  • True Diversification. Our investment mix changes as opportunities arise around the world.

Results

Hypothetical $10K Investment

Hypothetical $10K Investment

Investing in the Fund

What Are the Risks?
  • All investments involve risks, including possible loss of principal.
  • Special risks are associated with foreign investing, including currency fluctuations, economic instability and political developments; investments in emerging markets involve heightened risks related to the same factors.
  • To the extent the Fund focuses on particular countries, regions, industries, sectors or types of investment from time to time, it may be subject to greater risks of adverse developments in such areas of focus than a fund that invests in a wider variety of countries, regions, industries, sectors or investments.
  • The fund’s risk considerations are discussed in the prospectus.

Minimum Investment

$1,000.00

How Financial Advisors Help You

Speak to your financial advisor about whether this fund is appropriate for you. If you don't have a financial advisor, request a referral.

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Important Legal Information

Footnotes

For U.S. residents only.