APIR: SSB0515AU
Performance
1
Year
Year
5.07
3
Year
Year
2.16
5
Year
Year
1.35
Since Inception
2.79
Running Yield
Yield To Maturity
Data Current To: 27/06/2025
Information
Issuer: |
Franklin Templeton |
Sector: |
Multi |
Index: |
|
Inception Date: | 04/05/2017 |
Strategy: | The Fund's investment objective is to generate a high and consistent level of income over a full market cycle with a secondary objective of downside protection. |
Details
Management Costs: | 0.65% p.a. |
Minimum Initial Amount: | $ |
Income Distribution: | Quarterly |
Fund Size: | $149m (AUD) |
Number of Holdings: | 136 |