Nombre
ISIN
  Tipo de beneficio
Divisa
Sociedad de fondos Prec. de rescate
Fecha
Rendimiento 3 meses Rendimiento 1 año Rendimiento 3 años Rendimiento 5 años SR (1A)
Volatilidad (1A)
 
F.Gl.Real Estate Fd.W USD
LU0976565175
paying dividend
USD
Franklin Templeton 9.7700
08/01/2025
-8.61% -1.43% -17.09% -4.22% -0.32
13.31%
F.Gl.Real Estate Fd.W USD
LU1626020983
reinvestment
USD
Franklin Templeton 11.1800
08/01/2025
-8.59% -1.41% -16.94% -4.03% -0.32
13.26%
F.Gl.Real Estate Fd.Z USD
LU1129996556
reinvestment
USD
Franklin Templeton 11.8200
08/01/2025
-8.66% -1.75% -17.69% - -0.34
13.37%
Franklin Templeton Investment Funds...
LU0523919115
reinvestment
EUR
Franklin Templeton 13.6600
08/01/2025
-9.30% -4.21% -26.04% -17.06% -0.52
13.36%
Franklin Templeton Investment Funds...
LU0229948087
reinvestment
USD
Franklin Templeton 12.7000
08/01/2025
-8.76% -2.23% -19.01% -7.90% -0.38
13.32%
Franklin Templeton Investment Funds...
LU0229948244
paying dividend
USD
Franklin Templeton 8.4000
08/01/2025
-8.79% -2.19% -18.97% -7.90% -0.37
13.33%
Franklin Templeton Investment Funds...
LU0523922176
paying dividend
EUR
Franklin Templeton 9.8000
08/01/2025
-9.26% -4.25% -26.06% -17.33% -0.53
13.34%
Franklin Templeton Investment Funds...
LU0229949648
paying dividend
USD
Franklin Templeton 7.8400
08/01/2025
-8.94% -2.87% -20.44% -10.55% -0.42
13.34%
Franklin Templeton Investment Funds...
LU0229949309
reinvestment
USD
Franklin Templeton 15.0200
08/01/2025
-8.64% -1.44% -16.88% -3.78% -0.32
13.3%
Franklin Templeton Investment Funds...
LU0523922846
reinvestment
EUR
Franklin Templeton 12.2100
08/01/2025
-9.42% -4.91% -27.75% -20.40% -0.57
13.4%
Franklin Templeton Investment Funds...
LU0229948756
reinvestment
USD
Franklin Templeton 11.0100
08/01/2025
-9.01% -3.00% -20.79% -11.35% -0.43
13.32%