View Factsheet:
Franklin Templeton Japan Fund (0791)

Investment Objective

The Fund aims to achieve long-term capital appreciation by primarily investing in equity securities of companies any size located or performing business predominantly in Japan.

Tetsuro
Miyachi
  ,Tomohiro Shibahara
  &
 Tomoyuki Tsutatani
 / Tokyo, Japan
Fund Manager:
Tetsuro Miyachi , Tomohiro Shibahara & Tomoyuki Tsutatani / Tokyo, Japan
 

Fund Base Currency: Japanese Yen
Fund Launch Date: 1 September 2000
Fund Size (31 December 2011): JPY 11,968.6 million
Fund Number: 0791
Share Class: A(acc)JPY
NAV (31 December 2011):   JPY 406.22

Date: 31 December 2011

Highest/Lowest NAV in Base Currency
Year Highest NAV Lowest NAV
2011 533.60 395.62
2010 547.73 432.78
2009 528.16 383.53
2008 992.98 457.41
2007 1,303.35 972.69
2006 1,286.74 976.02
2005 1,237.59 723.75
2004 817.57 662.58
2003 742.98 506.82
2002 751.52 552.14

Date: 31 December 2011

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