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Franklin Japan A EUR

ISIN: LU0231790675 - Mercato: Fondi Comuni d'Investimento

11,67
-1,68%

Ultimo aggiornamento: 17/12/2025
Dati differiti di 15 minuti.

Dati forniti da FIDA S.r.l. – Torino (Italy)

Caratteristiche
LU0231790675
Fondi Esteri
EUR
3
9
Azionari Paese
25/10/2005
Franklin Templeton Intern Serv
---
5
Grafico
Distribuzione Settoriale
0,64%
2,25%
23,50%
7,56%
2,47%
0,85%
22,23%
5,92%
22,74%
1,71%
2,55%
5,19%
5,19%
1,58%
5,76%
5,14%
4,67%
2,41%
3,46%
12,96%
2,02%
4,24%
15,72%
2,37%
2,34%
2,71%
3,32%
1,53%
5,05%
1,68%
2,72%
2,03%
2,27%
2,46%
6,70%
12,96%
2,70%
1,80%
0,83%
3,28%
2,94%
5,68%
6,61%
2,33%
1,81%
2,61%
4,36%
21,18%
2,30%
2,37%
1,33%
2,10%
4,25%
2,30%
5,82%
2,01%
2,79%
2,32%
3,91%
2,39%
7,93%
-191,25%
6,37%
3,16%
2,50%
0,88%
9,61%
2,21%
2,56%
3,43%
2,12%
1,59%
5,14%
0,35%
Rendimenti
+5,04%
+12,58%
+17,17%
+21,29%
+61,19%
Asset Allocation
7,10%
90,43%
9,57%
Distribuzione Settoriale
92,07%
7,93%
4,25%
1,50%
Società di Gestione
Franklin Templeton Intern Serv
- Lussemburgo