TEMPLETON EMERGING MARKETS FUN
WKN: 872604 / ISIN: US8801911012Laut Börsenbericht 16,76EUR auf Jahressicht.
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04.07.08 09:51
#1
buran
Laut Börsenbericht 16,76EUR auf Jahressicht.
TEMPLETON EM.MKT FD DL-01 , WKN: 872604
Na mal sehen was das Wird. ;-)))
Branche Holding
Herkunft USA
Kurs aktuell 11,90 €
Na mal sehen was das Wird. ;-)))
Branche Holding
Herkunft USA
Kurs aktuell 11,90 €
27 Postings ausgeblendet.
22.09.13 22:45
#32
buran
Templeton Releases Closed-End Funds' Portfolio
Allocation Updates
FORT LAUDERDALE, FL--(Marketwired - Sep 19, 2013) - The Templeton closed-end Funds referenced below, which trade on the New York Stock Exchange, today released portfolio allocation updates containing the following information as of August 31, 2013:
•Asset Allocation
•Ten Largest Positions/Portfolio Characteristics
•International Allocation/Net Currency Distribution
•Industry Allocation/Country Distribution
To obtain a copy of the updates, please contact Fund Information at 1-800-342-5236.
Templeton closed-end Funds:
Templeton Emerging Markets Fund (NYSE: EMF)
Templeton Emerging Markets Income Fund (NYSE: TEI)
Templeton Global Income Fund (NYSE: GIM)
The Funds' investment managers are subsidiaries of Franklin Resources, Inc. (NYSE: BEN), a global investment management organization operating as Franklin Templeton Investments. Franklin Templeton Investments provides global and domestic investment management solutions managed by its Franklin, Templeton, Mutual Series, Bissett, Fiduciary Trust, Darby, Balanced Equity Management and K2 investment teams. The San Mateo, CA-based company has more than 65 years of investment experience and over $817 billion in assets under management as of August 31, 2013. For more information, please call 1-800/DIAL BEN® or visit franklintempleton.com.
TEMPLETON EMERGING MARKETS FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $342,414,724
NET ASSET VALUE PER SHARE: $18.98
OUTSTANDING SHARES: 18,039,115
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
TEN LARGEST POSITIONS PERCENT OF TOTAL NET ASSETS
CASH & CASH EQUIVALENTS 0.4% BRILLIANCE CHINA AUTOMOTIVE HOLDINGS LTD 12.8%
EQUITY* 99.6% TATA CONSULTANCY SERVICES LTD 5.5%
100.0% DAIRY FARM INTERNATIONAL HOLDINGS LTD 4.8%
VALE SA 3.7%
ASTRA INTERNATIONAL TBK PT 3.4%
KASIKORNBANK PCL 3.3%
GUANGZHOU AUTOMOBILE GROUP CO LTD 3.1%
GAZPROM OAO 3.1%
PETROCHINA CO LTD 2.9%
KIATNAKIN BANK PUBLIC CO LTD 2.9%
45.5%
INTERNATIONAL ALLOCATION PERCENT OF PORTFOLIO NET ASSETS
INDUSTRY ALLOCATION PERCENT OF PORTFOLIO NET ASSETS
ASIA 71.2% CONSUMER DISCRETIONARY 21.4%
CHINA 23.6% AUTOMOBILES & COMPONENTS 19.5%
HONG KONG 8.6% CONSUMER DURABLES & APPAREL 1.9%
INDIA 10.1% CONSUMER STAPLES 7.5%
INDONESIA 5.4% FOOD & STAPLES RETAILING 6.9%
PAKISTAN 3.0% HOUSEHOLD & PERSONAL PRODUCTS 0.5%
SOUTH KOREA 5.1% ENERGY 25.7%
THAILAND 10.9% FINANCIALS 20.2%
TURKEY 4.5% BANKS 19.2%
EUROPE 11.4% REAL ESTATE 1.0%
AUSTRIA 1.3% INDUSTRIALS 3.1%
HUNGARY 1.0% CAPITAL GOODS 2.0%
POLAND 0.2% TRANSPORTATION 1.1%
RUSSIA 7.6% INFORMATION TECHNOLOGY 8.5%
UNITED KINGDOM 1.3% SOFTWARE & SERVICES 6.0%
LATIN AMERICA 16.0% TECHNOLOGY HARDWARE & EQUIPMENT 2.4%
BRAZIL 11.9% MATERIALS 13.7%
MEXICO 2.1% TOTAL EQUITY* 100.0%
PERU 2.0%
MID-EAST/AFRICA 1.4%
JORDAN 0.3%
SOUTH AFRICA 1.2%
TOTAL EQUITY* 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The industry allocation uses MSCI's industry definitions for the convenience of comparison. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
* EQUITY INCLUDES CONVERTIBLE AND PREFERRED SECURITIES.
TEMPLETON EMERGING MARKETS INCOME FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $699,443,148
NET ASSET VALUE PER SHARE: $14.58
OUTSTANDING SHARES: 47,959,695
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
PORTFOLIO CHARACTERISTICS
CASH & CASH EQUIVALENTS 2.7% WEIGHTED AVG. MATURITY 6.5663 yrs.
DERIVATIVES 1.0% WEIGHTED AVG. DURATION 4.0673 yrs.
FIXED INCOME 96.3% WEIGHTED AVG. COUPON 7.6126%
100.0%
NET CURRENCY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
COUNTRY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
ASIA -2.0% ASIA 13.5%
INDO RUPIAH 3.5% INDIA 0.5%
JAPANESE YEN -9.5% INDONESIA 3.5%
MALAYSI RINGGIT 0.7% MONGOLIA 0.8%
SOUTH KOREAN WON 0.9% SRI LANKA 4.0%
SRI LANKA RUPEE 2.4% TURKEY 3.6%
EUROPE 0.1% VIETNAM 1.0%
EURO MON UNIT -2.5% EUROPE 36.3%
POLAND ZLOTY 0.7% BOSNIA AND HERZEGOVINA 0.6%
SERBIAN DINAR 1.7% CROATIA 1.2%
UKRAINE HRYVNIA 0.2% GEORGIA 0.5%
LATIN AMERICA 13.5% HUNGARY 5.0%
BRAZILIAN REAL 8.7% KAZAKHSTAN 8.3%
MEXICAN PESO 4.8% LATVIA 1.7%
MID-EAST/AFRICA 5.0% LITHUANIA 0.6%
GHANA CEDI NEW 3.7% ROMANIA 1.1%
NIGERIAN NAIRA 1.3% RUSSIA 7.1%
NORTH AMERICA 83.4% SERBIA 3.4%
US DOLLAR 83.4% SLOVENIA 0.5%
TOTAL 100.0% UKRAINE 6.3%
LATIN AMERICA 24.7%
ARGENTINA 4.8%
BRAZIL 8.7%
EL SALVADOR 0.4%
MEXICO 7.6%
PERU 0.3%
TRINIDAD AND TOBAGO 0.8%
VENEZUELA 2.2%
MID-EAST/AFRICA 19.8%
GHANA 6.2%
IRAQ 3.2%
NIGERIA 1.3%
SOUTH AFRICA 2.9%
UNITED ARAB EMIRATES 3.8%
ZAMBIA 2.5%
OTHER 4.5%
SUPRANATIONAL 0.7%
CASH 2.7%
DERIVATIVES 1.1%
NORTH AMERICA 1.2%
UNITED STATES 1.2%
TOTAL 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
TEMPLETON GLOBAL INCOME FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $1,124,599,708
NET ASSET VALUE PER SHARE: $8.38
OUTSTANDING SHARES: 134,144,158
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
PORTFOLIO CHARACTERISTICS
CASH & CASH EQUIVALENTS 10.1% WEIGHTED AVG. MATURITY 3.4551 yrs.
DERIVATIVES -0.9% WEIGHTED AVG. DURATION 2.1435 yrs.
FIXED INCOME 90.8% WEIGHTED AVG. COUPON 5.0028%
100.0%
NET CURRENCY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
COUNTRY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
ASIA 28.7% ASIA 31.6%
INDIAN RUPEE 3.3% INDONESIA 3.1%
INDO RUPIAH 3.1% MALAYSIA 4.4%
JAPANESE YEN -21.4% PHILIPPINES 0.4%
MALAYSI RINGGIT 15.7% SINGAPORE 2.2%
PHILIPPINE PESO 2.1% SOUTH KOREA 17.9%
SINGAPORE DOLLAR 4.4% SRI LANKA 2.7%
SOUTH KOREAN WON 18.9% VIETNAM 0.9%
SRI LANKA RUPEE 2.7% AUSTRALIA/NEW ZEALAND 1.8%
AUSTRALIA/NEW ZEALAND 1.8% AUSTRALIA 1.8%
AUSTRALIAN DOLLAR 1.8% EUROPE 37.1%
EUROPE -4.2% HUNGARY 4.3%
EURO MON UNIT -32.6% ICELAND 0.3%
HUNGARY FORINT 1.1% IRELAND 10.1%
NORWEGIAN KRONE 0.9% LITHUANIA 2.5%
POLAND ZLOTY 12.6% POLAND 11.7%
SWEDISH KRONA 13.8% RUSSIA 0.5%
LATIN AMERICA 28.8% SERBIA 0.6%
BRAZILIAN REAL 8.0% SLOVENIA 0.5%
CHILEAN PESO 7.7% SWEDEN 4.6%
MEXICAN PESO 9.5% UKRAINE 2.0%
PERU NUEVO SOL 3.6% LATIN AMERICA 17.0%
MID-EAST/AFRICA 1.9% BRAZIL 8.0%
ISRAELI SHEKEL 1.9% MEXICO 4.8%
NORTH AMERICA 43.0% PERU 3.6%
US DOLLAR 43.0% VENEZUELA 0.6%
TOTAL 100.0% MID-EAST/AFRICA 1.9%
ISRAEL 1.9%
NORTH AMERICA -0.2%
UNITED STATES -0.2%
OTHER 10.9%
SUPRANATIONAL 1.4%
CASH 10.1%
DERIVATIVES -0.6%
TOTAL 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
..Contact:.
.For more information, please contact
Franklin Templeton Investments
1-800-342-5236
http://finance.yahoo.com/news/...ases-closed-end-funds-131737639.html
FORT LAUDERDALE, FL--(Marketwired - Sep 19, 2013) - The Templeton closed-end Funds referenced below, which trade on the New York Stock Exchange, today released portfolio allocation updates containing the following information as of August 31, 2013:
•Asset Allocation
•Ten Largest Positions/Portfolio Characteristics
•International Allocation/Net Currency Distribution
•Industry Allocation/Country Distribution
To obtain a copy of the updates, please contact Fund Information at 1-800-342-5236.
Templeton closed-end Funds:
Templeton Emerging Markets Fund (NYSE: EMF)
Templeton Emerging Markets Income Fund (NYSE: TEI)
Templeton Global Income Fund (NYSE: GIM)
The Funds' investment managers are subsidiaries of Franklin Resources, Inc. (NYSE: BEN), a global investment management organization operating as Franklin Templeton Investments. Franklin Templeton Investments provides global and domestic investment management solutions managed by its Franklin, Templeton, Mutual Series, Bissett, Fiduciary Trust, Darby, Balanced Equity Management and K2 investment teams. The San Mateo, CA-based company has more than 65 years of investment experience and over $817 billion in assets under management as of August 31, 2013. For more information, please call 1-800/DIAL BEN® or visit franklintempleton.com.
TEMPLETON EMERGING MARKETS FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $342,414,724
NET ASSET VALUE PER SHARE: $18.98
OUTSTANDING SHARES: 18,039,115
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
TEN LARGEST POSITIONS PERCENT OF TOTAL NET ASSETS
CASH & CASH EQUIVALENTS 0.4% BRILLIANCE CHINA AUTOMOTIVE HOLDINGS LTD 12.8%
EQUITY* 99.6% TATA CONSULTANCY SERVICES LTD 5.5%
100.0% DAIRY FARM INTERNATIONAL HOLDINGS LTD 4.8%
VALE SA 3.7%
ASTRA INTERNATIONAL TBK PT 3.4%
KASIKORNBANK PCL 3.3%
GUANGZHOU AUTOMOBILE GROUP CO LTD 3.1%
GAZPROM OAO 3.1%
PETROCHINA CO LTD 2.9%
KIATNAKIN BANK PUBLIC CO LTD 2.9%
45.5%
INTERNATIONAL ALLOCATION PERCENT OF PORTFOLIO NET ASSETS
INDUSTRY ALLOCATION PERCENT OF PORTFOLIO NET ASSETS
ASIA 71.2% CONSUMER DISCRETIONARY 21.4%
CHINA 23.6% AUTOMOBILES & COMPONENTS 19.5%
HONG KONG 8.6% CONSUMER DURABLES & APPAREL 1.9%
INDIA 10.1% CONSUMER STAPLES 7.5%
INDONESIA 5.4% FOOD & STAPLES RETAILING 6.9%
PAKISTAN 3.0% HOUSEHOLD & PERSONAL PRODUCTS 0.5%
SOUTH KOREA 5.1% ENERGY 25.7%
THAILAND 10.9% FINANCIALS 20.2%
TURKEY 4.5% BANKS 19.2%
EUROPE 11.4% REAL ESTATE 1.0%
AUSTRIA 1.3% INDUSTRIALS 3.1%
HUNGARY 1.0% CAPITAL GOODS 2.0%
POLAND 0.2% TRANSPORTATION 1.1%
RUSSIA 7.6% INFORMATION TECHNOLOGY 8.5%
UNITED KINGDOM 1.3% SOFTWARE & SERVICES 6.0%
LATIN AMERICA 16.0% TECHNOLOGY HARDWARE & EQUIPMENT 2.4%
BRAZIL 11.9% MATERIALS 13.7%
MEXICO 2.1% TOTAL EQUITY* 100.0%
PERU 2.0%
MID-EAST/AFRICA 1.4%
JORDAN 0.3%
SOUTH AFRICA 1.2%
TOTAL EQUITY* 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The industry allocation uses MSCI's industry definitions for the convenience of comparison. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
* EQUITY INCLUDES CONVERTIBLE AND PREFERRED SECURITIES.
TEMPLETON EMERGING MARKETS INCOME FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $699,443,148
NET ASSET VALUE PER SHARE: $14.58
OUTSTANDING SHARES: 47,959,695
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
PORTFOLIO CHARACTERISTICS
CASH & CASH EQUIVALENTS 2.7% WEIGHTED AVG. MATURITY 6.5663 yrs.
DERIVATIVES 1.0% WEIGHTED AVG. DURATION 4.0673 yrs.
FIXED INCOME 96.3% WEIGHTED AVG. COUPON 7.6126%
100.0%
NET CURRENCY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
COUNTRY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
ASIA -2.0% ASIA 13.5%
INDO RUPIAH 3.5% INDIA 0.5%
JAPANESE YEN -9.5% INDONESIA 3.5%
MALAYSI RINGGIT 0.7% MONGOLIA 0.8%
SOUTH KOREAN WON 0.9% SRI LANKA 4.0%
SRI LANKA RUPEE 2.4% TURKEY 3.6%
EUROPE 0.1% VIETNAM 1.0%
EURO MON UNIT -2.5% EUROPE 36.3%
POLAND ZLOTY 0.7% BOSNIA AND HERZEGOVINA 0.6%
SERBIAN DINAR 1.7% CROATIA 1.2%
UKRAINE HRYVNIA 0.2% GEORGIA 0.5%
LATIN AMERICA 13.5% HUNGARY 5.0%
BRAZILIAN REAL 8.7% KAZAKHSTAN 8.3%
MEXICAN PESO 4.8% LATVIA 1.7%
MID-EAST/AFRICA 5.0% LITHUANIA 0.6%
GHANA CEDI NEW 3.7% ROMANIA 1.1%
NIGERIAN NAIRA 1.3% RUSSIA 7.1%
NORTH AMERICA 83.4% SERBIA 3.4%
US DOLLAR 83.4% SLOVENIA 0.5%
TOTAL 100.0% UKRAINE 6.3%
LATIN AMERICA 24.7%
ARGENTINA 4.8%
BRAZIL 8.7%
EL SALVADOR 0.4%
MEXICO 7.6%
PERU 0.3%
TRINIDAD AND TOBAGO 0.8%
VENEZUELA 2.2%
MID-EAST/AFRICA 19.8%
GHANA 6.2%
IRAQ 3.2%
NIGERIA 1.3%
SOUTH AFRICA 2.9%
UNITED ARAB EMIRATES 3.8%
ZAMBIA 2.5%
OTHER 4.5%
SUPRANATIONAL 0.7%
CASH 2.7%
DERIVATIVES 1.1%
NORTH AMERICA 1.2%
UNITED STATES 1.2%
TOTAL 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
TEMPLETON GLOBAL INCOME FUND
AS OF AUGUST 31, 2013
TOTAL NET ASSETS: $1,124,599,708
NET ASSET VALUE PER SHARE: $8.38
OUTSTANDING SHARES: 134,144,158
ASSET ALLOCATION PERCENT OF TOTAL NET ASSETS
PORTFOLIO CHARACTERISTICS
CASH & CASH EQUIVALENTS 10.1% WEIGHTED AVG. MATURITY 3.4551 yrs.
DERIVATIVES -0.9% WEIGHTED AVG. DURATION 2.1435 yrs.
FIXED INCOME 90.8% WEIGHTED AVG. COUPON 5.0028%
100.0%
NET CURRENCY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
COUNTRY DISTRIBUTION PERCENT OF TOTAL NET ASSETS
ASIA 28.7% ASIA 31.6%
INDIAN RUPEE 3.3% INDONESIA 3.1%
INDO RUPIAH 3.1% MALAYSIA 4.4%
JAPANESE YEN -21.4% PHILIPPINES 0.4%
MALAYSI RINGGIT 15.7% SINGAPORE 2.2%
PHILIPPINE PESO 2.1% SOUTH KOREA 17.9%
SINGAPORE DOLLAR 4.4% SRI LANKA 2.7%
SOUTH KOREAN WON 18.9% VIETNAM 0.9%
SRI LANKA RUPEE 2.7% AUSTRALIA/NEW ZEALAND 1.8%
AUSTRALIA/NEW ZEALAND 1.8% AUSTRALIA 1.8%
AUSTRALIAN DOLLAR 1.8% EUROPE 37.1%
EUROPE -4.2% HUNGARY 4.3%
EURO MON UNIT -32.6% ICELAND 0.3%
HUNGARY FORINT 1.1% IRELAND 10.1%
NORWEGIAN KRONE 0.9% LITHUANIA 2.5%
POLAND ZLOTY 12.6% POLAND 11.7%
SWEDISH KRONA 13.8% RUSSIA 0.5%
LATIN AMERICA 28.8% SERBIA 0.6%
BRAZILIAN REAL 8.0% SLOVENIA 0.5%
CHILEAN PESO 7.7% SWEDEN 4.6%
MEXICAN PESO 9.5% UKRAINE 2.0%
PERU NUEVO SOL 3.6% LATIN AMERICA 17.0%
MID-EAST/AFRICA 1.9% BRAZIL 8.0%
ISRAELI SHEKEL 1.9% MEXICO 4.8%
NORTH AMERICA 43.0% PERU 3.6%
US DOLLAR 43.0% VENEZUELA 0.6%
TOTAL 100.0% MID-EAST/AFRICA 1.9%
ISRAEL 1.9%
NORTH AMERICA -0.2%
UNITED STATES -0.2%
OTHER 10.9%
SUPRANATIONAL 1.4%
CASH 10.1%
DERIVATIVES -0.6%
TOTAL 100.0%
You may request a copy of the Fund's current Report to Shareholders by contacting Franklin Templeton's Fund Information Department at 1-800/DIAL BEN® (1-800-342-5236) or by visiting franklintempleton.com. Since markets can go up and down, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change. This press release contains statistical data regarding the Fund's portfolio. The Fund's complete portfolio holdings are publicly available on a quarterly basis on Form N-Q, as well as in the Fund's Annual and Semi-Annual Reports to Shareholders filed with the U.S. Securities and Exchange Commission. These documents may be found at sec.gov. For portfolio management discussions, including information regarding the Fund's investment strategies, please view the most recent Annual or Semi-Annual Report to Shareholders which can be found at franklintempleton.com or sec.gov.
..Contact:.
.For more information, please contact
Franklin Templeton Investments
1-800-342-5236
http://finance.yahoo.com/news/...ases-closed-end-funds-131737639.html
22.09.13 22:49
#33
buran
Templeton Emerging Markets Fund, Inc.
7 Temasek Boulevard
38-03 Suntec Tower One
Singapore, 38987
Singapore - Map
Phone: 65 6338 7177
Fax: 65 6338 7677
Website: http://www.franklintempleton.com
Details
Index Membership: N/A
Sector: Financial
Industry: Closed-End Fund - Equity
Full Time Employees: N/A
Business Summary
Templeton Emerging Markets Fund, Inc. is a closed-ended equity mutual fund launched and managed by Templeton Asset Management Ltd. It invests in the public equity markets across the globe. The fund invests in stocks of companies operating across diversified sectors. Templeton Emerging Markets Fund, Inc. is domiciled in Singapore.
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http://finance.yahoo.com/q/pr?s=EMF
38-03 Suntec Tower One
Singapore, 38987
Singapore - Map
Phone: 65 6338 7177
Fax: 65 6338 7677
Website: http://www.franklintempleton.com
Details
Index Membership: N/A
Sector: Financial
Industry: Closed-End Fund - Equity
Full Time Employees: N/A
Business Summary
Templeton Emerging Markets Fund, Inc. is a closed-ended equity mutual fund launched and managed by Templeton Asset Management Ltd. It invests in the public equity markets across the globe. The fund invests in stocks of companies operating across diversified sectors. Templeton Emerging Markets Fund, Inc. is domiciled in Singapore.
Key Statistics
Company Websites
Home Page
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More on Templeton Emerging Markets Fund, Inc.
http://finance.yahoo.com/q/pr?s=EMF
22.09.13 22:51
#34
buran
Prices
Date Open High Low Close Volume Adj Close*
Sep 20, 2013 20.49 20.57 19.90 19.93 83,600 19.93
Sep 19, 2013 20.65 20.65 20.41 20.50 133,200 20.50
Sep 18, 2013 19.78 20.48 19.64 20.43 248,200 20.43
Sep 17, 2013 19.66 19.86 19.47 19.73 534,500 19.73
Sep 16, 2013 19.52 19.55 19.32 19.45 339,600 19.45
Sep 13, 2013 19.32 19.39 19.12 19.14 118,800 19.14
Sep 12, 2013 19.25 19.40 19.01 19.28 273,100 19.28
Sep 11, 2013 18.99 18.99 18.74 18.85 43,200 18.85
Sep 10, 2013 18.83 18.99 18.76 18.97 99,200 18.97
Sep 9, 2013 18.09 18.64 18.08 18.64 55,900 18.64
Sep 6, 2013 17.98 18.13 17.81 18.02 71,500 18.02
Sep 5, 2013 17.60 17.86 17.60 17.82 21,300 17.82
Sep 4, 2013 17.49 17.70 17.44 17.67 22,700 17.67
Sep 3, 2013 17.40 17.68 17.34 17.53 26,900 17.53
Aug 30, 2013 17.38 17.38 17.20 17.27 29,600 17.27
Aug 29, 2013 17.22 17.38 17.18 17.31 29,700 17.31
Aug 28, 2013 17.16 17.24 17.02 17.16 34,300 17.16
Aug 27, 2013 17.41 17.50 17.06 17.09 77,100 17.09
Aug 26, 2013 17.55 17.70 17.55 17.58 36,500 17.58
Aug 23, 2013 17.37 17.65 17.37 17.61 33,400 17.61
Aug 22, 2013 17.22 17.41 17.12 17.33 41,700 17.33
Aug 21, 2013 17.68 17.69 17.19 17.19 82,200 17.19
Aug 20, 2013 17.81 17.81 17.60 17.70 75,300 17.70
Aug 19, 2013 18.17 18.25 17.77 17.90 26,500 17.90
Aug 16, 2013 18.26 18.35 18.05 18.28 102,400 18.28
Aug 15, 2013 18.12 18.25 18.02 18.16 20,000 18.16
Aug 14, 2013 18.25 18.36 18.15 18.35 25,600 18.35
Aug 13, 2013 18.11 18.23 18.11 18.16 54,100 18.16
Aug 12, 2013 18.02 18.13 18.01 18.11 34,000 18.11
Aug 9, 2013 17.84 18.08 17.68 18.01 23,500 18.01
Aug 8, 2013 17.78 18.00 17.76 17.95 15,800 17.95
Aug 7, 2013 17.76 17.76 17.51 17.67 47,300 17.67
Aug 6, 2013 17.96 17.96 17.65 17.83 42,300 17.83
Aug 5, 2013 18.05 18.23 17.84 18.01 31,300 18.01
Aug 2, 2013 17.91 18.22 17.91 18.20 33,100 18.20
Aug 1, 2013 17.82 18.08 17.80 18.07 21,100 18.07
Jul 31, 2013 17.69 17.96 17.50 17.72 45,600 17.72
Jul 30, 2013 17.92 18.08 17.76 17.77 38,000 17.77
Jul 29, 2013 18.12 18.26 17.92 17.97 67,200 17.97
Jul 26, 2013 17.95 18.34 17.90 18.34 51,400 18.34
Jul 25, 2013 18.03 18.13 18.00 18.07 38,000 18.07
Jul 24, 2013 18.24 18.24 18.00 18.14 29,900 18.14
Jul 23, 2013 18.06 18.24 18.06 18.14 46,300 18.14
Jul 22, 2013 17.94 17.95 17.81 17.93 48,800 17.93
Jul 19, 2013 17.90 17.90 17.74 17.86 43,900 17.86
Jul 18, 2013 18.24 18.24 17.80 17.88 48,900 17.88
Jul 17, 2013 18.05 18.19 18.05 18.05 26,300 18.05
Jul 16, 2013 17.85 18.00 17.81 17.98 16,600 17.98
Jul 15, 2013 17.69 17.93 17.65 17.89 35,000 17.89
Jul 12, 2013 17.72 17.79 17.52 17.61 35,300 17.61
Jul 11, 2013 17.61 17.85 17.51 17.85 78,300 17.85
Jul 10, 2013 17.37 17.50 17.15 17.23 64,600 17.23
Jul 9, 2013 17.64 17.64 17.43 17.52 46,100 17.52
Jul 8, 2013 17.26 17.52 17.26 17.45 56,700 17.45
Jul 5, 2013 17.39 17.41 17.20 17.31 38,000 17.31
Jul 3, 2013 17.19 17.50 17.11 17.39 39,700 17.39
Jul 2, 2013 17.65 17.77 17.41 17.48 76,400 17.48
Jul 1, 2013 17.57 17.75 17.53 17.63 42,000 17.63
Jun 28, 2013 17.40 17.82 17.29 17.50 194,500 17.50
Jun 27, 2013 17.35 17.50 17.29 17.49 75,100 17.49
Jun 26, 2013 17.00 17.28 16.93 17.21 111,900 17.21
Jun 25, 2013 16.85 17.00 16.66 16.93 46,400 16.93
Jun 24, 2013 16.88 16.88 16.40 16.76 108,500 16.76
Jun 21, 2013 17.10 17.24 16.84 17.11 129,100 17.11
Jun 20, 2013 17.51 17.52 16.88 17.06 151,100 17.06
Jun 19, 2013 18.18 18.18 17.72 17.77 130,300 17.77
* Close price adjusted for dividends and splits
http://finance.yahoo.com/q/hp?s=EMF+Historical+Prices
Sep 20, 2013 20.49 20.57 19.90 19.93 83,600 19.93
Sep 19, 2013 20.65 20.65 20.41 20.50 133,200 20.50
Sep 18, 2013 19.78 20.48 19.64 20.43 248,200 20.43
Sep 17, 2013 19.66 19.86 19.47 19.73 534,500 19.73
Sep 16, 2013 19.52 19.55 19.32 19.45 339,600 19.45
Sep 13, 2013 19.32 19.39 19.12 19.14 118,800 19.14
Sep 12, 2013 19.25 19.40 19.01 19.28 273,100 19.28
Sep 11, 2013 18.99 18.99 18.74 18.85 43,200 18.85
Sep 10, 2013 18.83 18.99 18.76 18.97 99,200 18.97
Sep 9, 2013 18.09 18.64 18.08 18.64 55,900 18.64
Sep 6, 2013 17.98 18.13 17.81 18.02 71,500 18.02
Sep 5, 2013 17.60 17.86 17.60 17.82 21,300 17.82
Sep 4, 2013 17.49 17.70 17.44 17.67 22,700 17.67
Sep 3, 2013 17.40 17.68 17.34 17.53 26,900 17.53
Aug 30, 2013 17.38 17.38 17.20 17.27 29,600 17.27
Aug 29, 2013 17.22 17.38 17.18 17.31 29,700 17.31
Aug 28, 2013 17.16 17.24 17.02 17.16 34,300 17.16
Aug 27, 2013 17.41 17.50 17.06 17.09 77,100 17.09
Aug 26, 2013 17.55 17.70 17.55 17.58 36,500 17.58
Aug 23, 2013 17.37 17.65 17.37 17.61 33,400 17.61
Aug 22, 2013 17.22 17.41 17.12 17.33 41,700 17.33
Aug 21, 2013 17.68 17.69 17.19 17.19 82,200 17.19
Aug 20, 2013 17.81 17.81 17.60 17.70 75,300 17.70
Aug 19, 2013 18.17 18.25 17.77 17.90 26,500 17.90
Aug 16, 2013 18.26 18.35 18.05 18.28 102,400 18.28
Aug 15, 2013 18.12 18.25 18.02 18.16 20,000 18.16
Aug 14, 2013 18.25 18.36 18.15 18.35 25,600 18.35
Aug 13, 2013 18.11 18.23 18.11 18.16 54,100 18.16
Aug 12, 2013 18.02 18.13 18.01 18.11 34,000 18.11
Aug 9, 2013 17.84 18.08 17.68 18.01 23,500 18.01
Aug 8, 2013 17.78 18.00 17.76 17.95 15,800 17.95
Aug 7, 2013 17.76 17.76 17.51 17.67 47,300 17.67
Aug 6, 2013 17.96 17.96 17.65 17.83 42,300 17.83
Aug 5, 2013 18.05 18.23 17.84 18.01 31,300 18.01
Aug 2, 2013 17.91 18.22 17.91 18.20 33,100 18.20
Aug 1, 2013 17.82 18.08 17.80 18.07 21,100 18.07
Jul 31, 2013 17.69 17.96 17.50 17.72 45,600 17.72
Jul 30, 2013 17.92 18.08 17.76 17.77 38,000 17.77
Jul 29, 2013 18.12 18.26 17.92 17.97 67,200 17.97
Jul 26, 2013 17.95 18.34 17.90 18.34 51,400 18.34
Jul 25, 2013 18.03 18.13 18.00 18.07 38,000 18.07
Jul 24, 2013 18.24 18.24 18.00 18.14 29,900 18.14
Jul 23, 2013 18.06 18.24 18.06 18.14 46,300 18.14
Jul 22, 2013 17.94 17.95 17.81 17.93 48,800 17.93
Jul 19, 2013 17.90 17.90 17.74 17.86 43,900 17.86
Jul 18, 2013 18.24 18.24 17.80 17.88 48,900 17.88
Jul 17, 2013 18.05 18.19 18.05 18.05 26,300 18.05
Jul 16, 2013 17.85 18.00 17.81 17.98 16,600 17.98
Jul 15, 2013 17.69 17.93 17.65 17.89 35,000 17.89
Jul 12, 2013 17.72 17.79 17.52 17.61 35,300 17.61
Jul 11, 2013 17.61 17.85 17.51 17.85 78,300 17.85
Jul 10, 2013 17.37 17.50 17.15 17.23 64,600 17.23
Jul 9, 2013 17.64 17.64 17.43 17.52 46,100 17.52
Jul 8, 2013 17.26 17.52 17.26 17.45 56,700 17.45
Jul 5, 2013 17.39 17.41 17.20 17.31 38,000 17.31
Jul 3, 2013 17.19 17.50 17.11 17.39 39,700 17.39
Jul 2, 2013 17.65 17.77 17.41 17.48 76,400 17.48
Jul 1, 2013 17.57 17.75 17.53 17.63 42,000 17.63
Jun 28, 2013 17.40 17.82 17.29 17.50 194,500 17.50
Jun 27, 2013 17.35 17.50 17.29 17.49 75,100 17.49
Jun 26, 2013 17.00 17.28 16.93 17.21 111,900 17.21
Jun 25, 2013 16.85 17.00 16.66 16.93 46,400 16.93
Jun 24, 2013 16.88 16.88 16.40 16.76 108,500 16.76
Jun 21, 2013 17.10 17.24 16.84 17.11 129,100 17.11
Jun 20, 2013 17.51 17.52 16.88 17.06 151,100 17.06
Jun 19, 2013 18.18 18.18 17.72 17.77 130,300 17.77
* Close price adjusted for dividends and splits
http://finance.yahoo.com/q/hp?s=EMF+Historical+Prices
22.09.13 22:53
#35
buran
19.93 0.57(2.78%) Sep 20, 4:01PM EDT
Prev Close: 20.50
Open: 20.49
Bid: 18.76 x 400
Ask: 21.45 x 200
1y Target Est: N/A
Beta: 1.46
Next Earnings Date: N/A
Day's Range: 19.90 - 20.57
52wk Range: 16.40 - 21.00
Volume: 83,578
Avg Vol (3m): 72,922
Market Cap: 359.76M
P/E (ttm): 32.25
EPS (ttm): 0.62
Div & Yield: 0.29 (1.40%)
http://finance.yahoo.com/q?s=EMF
Open: 20.49
Bid: 18.76 x 400
Ask: 21.45 x 200
1y Target Est: N/A
Beta: 1.46
Next Earnings Date: N/A
Day's Range: 19.90 - 20.57
52wk Range: 16.40 - 21.00
Volume: 83,578
Avg Vol (3m): 72,922
Market Cap: 359.76M
P/E (ttm): 32.25
EPS (ttm): 0.62
Div & Yield: 0.29 (1.40%)
http://finance.yahoo.com/q?s=EMF
19.11.13 22:51
#40
buran
ulla ulla trulla
Zeit
§Kurs Stück
22:00:24 20,02 $
§180
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§215
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872
§
GrB
Zeit
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22:00:24 20,02 $
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21:58:03 19,991 $
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872
§
GrB
10.01.14 20:12
#45
buran
48.792 NYSE 48.792
Zeit
Kurs Stück §
19:55:30§17,05 $
239 §
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100 §
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438 §
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15:30:08§16,95 $
1.550
GrB
Kurs Stück §
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239 §
19:55:30§17,07 $
100 §
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438 §
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100 §
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329 §
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100 §
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145 §
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200 §
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100 §
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100 §
15:36:04§17,03 $
100 §
15:30:08§16,95 $
1.550
GrB
17.01.14 19:38
#46
buran
36.891 GEBONGT 36.891
Zeit
Kurs Stück §
19:22:56§16,94 $
100 §
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150 §
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180 §
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100 §
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18:37:10§16,9401 $
200 §
18:36:31§16,94 $
322 §
18:26:46§16,96 $
323 §
18:10:40§16,94 $
100 §
17:57:08§16,95 $
109 §
17:57:08§16,949 $
109 §
17:56:30§16,9499 $
100 §
17:55:04§16,94 $
200 §
17:38:27§16,94 $
200 §
17:32:03§16,94 $
1.300 §
17:24:33§16,95 $
200 §
17:21:07§16,9401 $
200 §
17:19:05§16,94 $
250 §
17:18:10§16,9401 $
100 §
17:17:19§16,941 $
1.400 §
17:16:40§16,94 $
100 §
17:03:20§16,941 $
2.300 §
17:02:10§16,9406 $
124 §
17:02:10§16,94 $
356 §
17:02:10§16,9406 $
356 §
16:55:59§16,94 $
100 §
16:55:59§16,9652 $
537 §
16:55:06§16,9401 $
109 §
16:46:00§16,943 $
300 §
16:34:05§16,96 $
100 §
16:24:49§16,96 $
200 §
16:24:48§16,96 $
200 §
16:23:52§16,94 $
400 §
16:23:51§16,94 $
300 §
16:23:48§16,94 $
100 §
16:23:43§16,94 $
300 §
16:23:27§16,94 $
200 §
16:23:09§16,94 $
500 §
16:20:09§16,94 $
100 §
16:20:09§16,92 $
100 §
16:19:48§16,90 $
1.739 §
16:19:37§16,90 $
200 §
16:19:25§16,8999 $
222 §
16:19:20§16,89 $
200 §
16:19:20§16,90 $
433 §
16:18:54§16,90 $
200 §
16:18:53§16,90 $
300 §
16:18:50§16,90 $
1.900 §
16:17:13§16,88 $
8.664 §
16:13:48§16,88 $
200 §
16:13:48§16,881 $
200 §
16:13:48§16,89 $
200 §
16:13:48§16,88 $
1.505 §
16:05:50§16,88 $
100 §
15:59:07§16,90 $
200 §
15:59:07§16,95 $
100 §
15:59:07§16,90 $
400 §
15:57:52§16,90 $
100 §
15:52:53§16,9699 $
300 §
15:44:38§16,98 $
100 §
15:41:36§16,95 $
100 §
15:40:16§16,95 $
100 §
15:40:10§16,95 $
100 §
15:40:09§16,95 $
100 §
15:39:16§17,00 $
100 §
15:39:12§17,00 $
300 §
15:30:09§16,92 $
1.367
GrB
Kurs Stück §
19:22:56§16,94 $
100 §
19:22:56§16,94 $
150 §
19:22:56§16,9499 $
180 §
19:16:44§16,94 $
300 §
19:16:44§16,94 $
700 §
19:10:51§16,94 $
200 §
19:10:51§16,96 $
200 §
19:02:46§16,94 $
150 §
19:02:32§16,95 $
100 §
19:02:32§16,96 $
200 §
19:02:32§16,955 $
200 §
19:02:26§16,95 $
100 §
19:02:24§16,95 $
100 §
19:02:23§16,95 $
100 §
19:02:11§16,95 $
100 §
19:02:10§16,95 $
100 §
19:02:09§16,95 $
100 §
18:56:45§16,9401 $
100 §
18:47:04§16,9599 $
1.000 §
18:41:03§16,941 $
100 §
18:37:10§16,9401 $
200 §
18:36:31§16,94 $
322 §
18:26:46§16,96 $
323 §
18:10:40§16,94 $
100 §
17:57:08§16,95 $
109 §
17:57:08§16,949 $
109 §
17:56:30§16,9499 $
100 §
17:55:04§16,94 $
200 §
17:38:27§16,94 $
200 §
17:32:03§16,94 $
1.300 §
17:24:33§16,95 $
200 §
17:21:07§16,9401 $
200 §
17:19:05§16,94 $
250 §
17:18:10§16,9401 $
100 §
17:17:19§16,941 $
1.400 §
17:16:40§16,94 $
100 §
17:03:20§16,941 $
2.300 §
17:02:10§16,9406 $
124 §
17:02:10§16,94 $
356 §
17:02:10§16,9406 $
356 §
16:55:59§16,94 $
100 §
16:55:59§16,9652 $
537 §
16:55:06§16,9401 $
109 §
16:46:00§16,943 $
300 §
16:34:05§16,96 $
100 §
16:24:49§16,96 $
200 §
16:24:48§16,96 $
200 §
16:23:52§16,94 $
400 §
16:23:51§16,94 $
300 §
16:23:48§16,94 $
100 §
16:23:43§16,94 $
300 §
16:23:27§16,94 $
200 §
16:23:09§16,94 $
500 §
16:20:09§16,94 $
100 §
16:20:09§16,92 $
100 §
16:19:48§16,90 $
1.739 §
16:19:37§16,90 $
200 §
16:19:25§16,8999 $
222 §
16:19:20§16,89 $
200 §
16:19:20§16,90 $
433 §
16:18:54§16,90 $
200 §
16:18:53§16,90 $
300 §
16:18:50§16,90 $
1.900 §
16:17:13§16,88 $
8.664 §
16:13:48§16,88 $
200 §
16:13:48§16,881 $
200 §
16:13:48§16,89 $
200 §
16:13:48§16,88 $
1.505 §
16:05:50§16,88 $
100 §
15:59:07§16,90 $
200 §
15:59:07§16,95 $
100 §
15:59:07§16,90 $
400 §
15:57:52§16,90 $
100 §
15:52:53§16,9699 $
300 §
15:44:38§16,98 $
100 §
15:41:36§16,95 $
100 §
15:40:16§16,95 $
100 §
15:40:10§16,95 $
100 §
15:40:09§16,95 $
100 §
15:39:16§17,00 $
100 §
15:39:12§17,00 $
300 §
15:30:09§16,92 $
1.367
GrB
17.01.14 19:40
#47
buran
1:34PM EST - Nasdaq Real Time Price
16.93 Down 0.06(0.38%)
Prev Close: 17.00
Open: 16.92 §
Bid:§16.94 x 900
Ask:§16.95 x 200
1y Target Est: N/A
Beta: 1.33§
Next Earnings Date: N/A
Day's Range: 16.88 - 16.98
52wk Range: 16.40 - 21.00
Volume: 37,808§
Avg Vol (3m): 75,187
Market Cap: 305.49M
P/E (ttm): 83.45
EPS (ttm): 0.20
Div & Yield: 0.44 (2.60%)
http://finance.yahoo.com/q?s=emf&ql=1
Prev Close: 17.00
Open: 16.92 §
Bid:§16.94 x 900
Ask:§16.95 x 200
1y Target Est: N/A
Beta: 1.33§
Next Earnings Date: N/A
Day's Range: 16.88 - 16.98
52wk Range: 16.40 - 21.00
Volume: 37,808§
Avg Vol (3m): 75,187
Market Cap: 305.49M
P/E (ttm): 83.45
EPS (ttm): 0.20
Div & Yield: 0.44 (2.60%)
http://finance.yahoo.com/q?s=emf&ql=1
17.01.14 19:41
#48
buran
Pechala's Reports
Symbol(s): EMF
Date: 11-Jan-14
Author:§Frantisek Pechala
Contributor:§Pechala's Reports
Title:§TEMPLETON EMERGING MARKETS FUN (EMF) 12-months forecast
Document Size: 1 page
Price: $15
Document Type: Adobe Acrobat Reader®
Download free Adobe Acrobat Reader®
http://reports.finance.yahoo.com/w0?r=58109430:1
Date: 11-Jan-14
Author:§Frantisek Pechala
Contributor:§Pechala's Reports
Title:§TEMPLETON EMERGING MARKETS FUN (EMF) 12-months forecast
Document Size: 1 page
Price: $15
Document Type: Adobe Acrobat Reader®
Download free Adobe Acrobat Reader®
http://reports.finance.yahoo.com/w0?r=58109430:1
17.01.14 19:43
#49
buran
Templeton Releases
Closed-End Funds' Portfolio Allocation Updates
http://finance.yahoo.com/news/...ases-closed-end-funds-153015024.html
http://finance.yahoo.com/news/...ases-closed-end-funds-153015024.html
19.03.14 11:42
#51
buran
März Schalte NYSE Sätze aktuell
Datum Erster Hoch Tief Schluss Stücke Volumen
18.03.14 16,09 16,35 16,09 16,33 $ 77.215 1,23 M
17.03.14 15,91 16,18 15,87 16,13 $ 85.935 1,34 M
14.03.14 15,65 15,93 15,65 15,82 $ 44.453 0,68 M
13.03.14 16,04 16,15 15,711 15,73 $ 62.581 0,96 M
12.03.14 15,93 16,07 15,918 16,05 $ 129.367 2,05 M
11.03.14 16,28 16,34 15,95 15,99 $ 79.980 1,27 M
10.03.14 16,25 16,29 16,14 16,28 $ 59.016 0,91 M
07.03.14 16,45 16,45 16,20 16,33 $ 69.844 1,11 M
06.03.14 16,41 16,55 16,364 16,50 $ 75.991 1,22 M
05.03.14 16,34 16,34 16,21 16,34 $ 52.777 0,84 M
04.03.14 16,25 16,40 16,25 16,32 $ 44.945 0,70 M
03.03.14 16,23 16,239 16,06 16,08 $ 64.258 0,97 M
GrB
18.03.14 16,09 16,35 16,09 16,33 $ 77.215 1,23 M
17.03.14 15,91 16,18 15,87 16,13 $ 85.935 1,34 M
14.03.14 15,65 15,93 15,65 15,82 $ 44.453 0,68 M
13.03.14 16,04 16,15 15,711 15,73 $ 62.581 0,96 M
12.03.14 15,93 16,07 15,918 16,05 $ 129.367 2,05 M
11.03.14 16,28 16,34 15,95 15,99 $ 79.980 1,27 M
10.03.14 16,25 16,29 16,14 16,28 $ 59.016 0,91 M
07.03.14 16,45 16,45 16,20 16,33 $ 69.844 1,11 M
06.03.14 16,41 16,55 16,364 16,50 $ 75.991 1,22 M
05.03.14 16,34 16,34 16,21 16,34 $ 52.777 0,84 M
04.03.14 16,25 16,40 16,25 16,32 $ 44.945 0,70 M
03.03.14 16,23 16,239 16,06 16,08 $ 64.258 0,97 M
GrB