330. Increase Decrease New since last portfolio. Franklin Technology A Acc USD. Fund price for Franklin Technology Fund A (Acc) USD along with Morningstar ratings &
Forfull details of all of the risks applicable to this Fund, please refer to the “Risk Considerations” section of the Fund in the current prospectus of Franklin Templeton Investment Funds. Fund Information. Total Net Assets As of 30/11/2023 (Updated Monthly) $1.58 Billion. Fund Inception Date. 03/04/2000. Share Class Inception Date. 03/04
FranklinTechnology Fund W (acc) USD as of 31 October 2023 Top Equity Issuers (% of Total) Fund MICROSOFT CORP 7.84 NVIDIA CORP 7.33 AMAZON.COM INC 5.96 APPLE INC 4.22 MASTERCARD INC 3.36 SERVICENOW INC 3.21 SYNOPSYS INC 3.03 ASML HOLDING NV 2.66 ADOBE INC 2.59 INTUIT INC 2.32
FranklinTechnology Fund Fact Sheet View All As of 09/01/2024 NAV 1 $40.05 NAV Change 1 $0.29 (0.73%) As of 31/12/2023 Morningstar Overall Rating™ 2
Dóndelo puedes comprar. Útimo valor liquidativo. Rentabilidad 3 años. Inversión mínima. Coste de Gestión. Franklin Technology Fund I (Inc) EUR. LU1894879243. 23,61 €. 5,48 %.
Forfull details of all of the risks applicable to this Fund, please refer to the “Risk Considerations” section of the Fund in the current prospectus of Franklin Templeton Investment Funds. Fund Information. Total Net Assets As of 30/11/2023 (Updated Monthly) $9.89 Billion. Fund Inception Date.
FranklinTechnologyFundAacc)USD 60 100 140 180 220 260 300 340 380 FundOverview BaseCurrencyforFund USD TotalNetAssets(USD) 10.22billion FundInceptionDate 03.04.2000 NumberofIssuers 97 Benchmark MSCIWorldInformation Franklin Technology Fund - A (acc) USD - Fund Fact Sheet Author:
aTOfKk. crkm81k7rx.pages.dev/308crkm81k7rx.pages.dev/201crkm81k7rx.pages.dev/231crkm81k7rx.pages.dev/328crkm81k7rx.pages.dev/363crkm81k7rx.pages.dev/122crkm81k7rx.pages.dev/141crkm81k7rx.pages.dev/112crkm81k7rx.pages.dev/99
franklin technology fund a acc usd