JPY1.081,22 10,97% (12m)

TEMPLETON GLOBAL BOND "I" (JPY) INC (MONTHLY)

ISIN: LU0563142966
Nivel de riesgo:
Moneda: JPY (JPY)
Gestora: FRANKLIN TEMPLETON IM LTD (LU)
Gastos corrientes: 0,84%
Fecha valor liquidativo: 22.02.2024
Fondo no comercializado por EBN, si lo quiere solicítelo

Comparativa de Costes

Este fondo tiene 56 clases disponibles para la comercialización en España con diferentes Gastos Corrientes. Busque la suya por el ISIN, encuentre la más barata y empiece ahorrar.

ISIN
Gastos Corrientes
Rent. 1 año
TEMPLETON GLOBAL BOND "I" (JPY) INC (MONTHLY)
LU0563142966
LU0563142966
0,84%
10,97%
Buscada
TEMPLETON GLOBAL BOND "A" (EUR) ACC
LU0152980495
LU0152980495
1,40%
-3,40%
TEMPLETON GLOBAL BOND "A" (EURHDG) INC
LU0496363937
LU0496363937
1,39%
-7,81%
TEMPLETON GLOBAL BOND "S" (EUR) INC
LU1162223371
LU1162223371
0,54%
-6,55%
Más barata
TEMPLETON GLOBAL BOND "A" (GBP HDG) INC
LU0316492692
LU0316492692
1,39%
-6,46%
TEMPLETON GLOBAL BOND "A" (EURHEDGED) INC
LU0366770310
LU0366770310
1,39%
-7,92%
TEMPLETON GLOBAL BOND "N" (PLNHDG) ACC
LU0465790896
LU0465790896
2,09%
-4,20%
TEMPLETON GLOBAL BOND M "W" (GBP HDG) INC
LU0768359340
LU0768359340
0,89%
-6,05%
TEMPLETON GLOBAL BOND "W" (USD) ACC
LU0792613274
LU0792613274
0,89%
-5,52%
TEMPLETON GLOBAL BOND "A" (CNYHDG) INC
LU0808757545
LU0808757545
1,39%
-3,73%
TEMPLETON GLOBAL BOND "I" (EUR) ACC
LU0195953079
LU0195953079
0,85%
-2,88%
TEMPLETON GLOBAL BOND "A" (CHFHDG) ACC
LU0450468003
LU0450468003
1,39%
-5,31%
TEMPLETON GLOBAL BOND "W" (EURHDG) INC
LU0889564786
LU0889564786
0,89%
-7,41%
TEMPLETON GLOBAL BOND "I" (EUR HDG) ACC
LU0316492775
LU0316492775
0,84%
-7,31%
TEMPLETON GLOBAL BOND "N" (EUR HDG) ACC
LU0294220107
LU0294220107
2,09%
-8,49%
TEMPLETON GLOBAL BOND "AX" (USD) ACC
LU0188152226
LU0188152226
1,59%
-4,63%
TEMPLETON GLOBAL BOND "A" (CZKHDG) ACC
LU0768356593
LU0768356593
1,39%
-5,81%
TEMPLETON GLOBAL BOND "I" YD (EUR) INC
LU0300745642
LU0300745642
0,94%
-3,04%
TEMPLETON GLOBAL BOND "I" (NOKHDG) ACC
LU0923957749
LU0923957749
0,84%
-6,93%
TEMPLETON GLOBAL BOND "I" (GBPHDG) INC (M)
LU0441901765
LU0441901765
0,85%
-1,56%
TEMPLETON GLOBAL BOND "I" (CHFHDG) ACC
LU0486624124
LU0486624124
0,84%
-4,73%
TEMPLETON GLOBAL BOND "A" (SEKHDG) ACC
LU0476944003
LU0476944003
1,39%
-3,44%
TEMPLETON GLOBAL BOND "SH1" (EURHDG) ACC
LU2035228605
LU2035228605
0,54%
-7,10%
TEMPLETON GLOBAL BOND "I" (GBP) INC (M)
LU0441902573
LU0441902573
0,86%
-5,44%
TEMPLETON GLOBAL BOND "A" (NOKHDG) ACC
LU0476944185
LU0476944185
1,39%
-7,48%
TEMPLETON GLOBAL BOND "I" (EURHDG) INC
LU0517465976
LU0517465976
0,86%
-7,51%
TEMPLETON GLOBAL BOND "W" (EUR HDG) ACC
LU0792613191
LU0792613191
0,88%
-7,42%
TEMPLETON GLOBAL BOND "N" (EURHDG) INC
LU0517464730
LU0517464730
2,09%
-4,25%
TEMPLETON GLOBAL BOND "A" (CADHDG) INC MONTHLY
LU0672653861
LU0672653861
1,39%
-5,18%
TEMPLETON GLOBAL BOND "N" (USD) ACC
LU0122614208
LU0122614208
2,09%
-6,73%
TEMPLETON GLOBAL BOND "N" (HUF) ACC
LU0517464813
LU0517464813
2,09%
-5,59%
TEMPLETON GLOBAL BOND "W" (EUR) ACC
LU0889564604
LU0889564604
0,89%
-2,97%
TEMPLETON GLOBAL BOND M "W" (GBP) INC
LU0768361676
LU0768361676
0,89%
-5,05%
TEMPLETON GLOBAL BOND "A" (CHFHDG) Y INC
LU0672653945
LU0672653945
1,39%
-5,23%
TEMPLETON GLOBAL BOND "I" (USD) ACC
LU0181997262
LU0181997262
0,85%
-5,52%
TEMPLETON GLOBAL BOND "W" (USD) INC (MONTHLY)
LU0871812276
LU0871812276
0,89%
-5,58%
TEMPLETON GLOBAL BOND "I" (JPYHDG) INC (MONTHLY)
LU0563143006
LU0563143006
0,83%
-6,52%
TEMPLETON GLOBAL BOND "W" (EUR) INC (YEARLY)
LU0976565928
LU0976565928
0,89%
-2,91%
TEMPLETON GLOBAL BOND "A" (HKD) INC (M)
LU0476943617
LU0476943617
1,39%
-1,38%
TEMPLETON GLOBAL BOND "N" (EUR HDG) INC
LU0366773173
LU0366773173
2,09%
-8,43%
TEMPLETON GLOBAL BOND "A" (USD) ACC
LU0252652382
LU0252652382
1,39%
-6,05%
TEMPLETON GLOBAL BOND "W" (CHFHDG) ACC
LU1048430349
LU1048430349
0,89%
-9,63%
TEMPLETON GLOBAL BOND "A" (EUR) MD INC
LU0152981543
LU0152981543
1,39%
-3,42%
TEMPLETON GLOBAL BOND "I" INC
LU0260864938
LU0260864938
0,85%
-3,71%
TEMPLETON GLOBAL BOND "A" (GBP) INC
LU0229943369
LU0229943369
1,39%
-5,50%
TEMPLETON GLOBAL BOND "W" (CHFHDG) H1 INC
LU1789397269
LU1789397269
0,88%
-3,36%
TEMPLETON GLOBAL BOND "A" (AUDHDG) INC
LU0536402570
LU0536402570
1,39%
-6,38%
TEMPLETON GLOBAL BOND "A" (EUR) INC
LU0300745303
LU0300745303
1,39%
-3,30%
TEMPLETON GLOBAL BOND "A" (HKD) ACC
LU0476943880
LU0476943880
1,39%
-4,56%
TEMPLETON GLOBAL BOND "N" ACC
LU0260870588
LU0260870588
2,09%
-4,05%
TEMPLETON GLOBAL BOND "A" (SGDHDG) INC (M)
LU0366777323
LU0366777323
1,39%
-6,20%
TEMPLETON GLOBAL BOND "W" (EUR) INC (MONTHLY)
LU0976566066
LU0976566066
0,89%
-2,81%
TEMPLETON GLOBAL BOND "N" (USD) INC (M)
LU0672653788
LU0672653788
2,09%
-6,71%
TEMPLETON GLOBAL BOND "A" (SGD) INC (M)
LU0320763948
LU0320763948
1,39%
-0,90%
TEMPLETON GLOBAL BOND "A" (EUR HDG) ACC
LU0294219869
LU0294219869
1,39%
-7,85%
TEMPLETON GLOBAL BOND "A" (USD) INC
LU0029871042
LU0029871042
1,39%
-6,09%
Ver más clases
Datos de rentabilidad calculados a fecha 22/02/2024

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