NAV
€13.30
NAV Change
€-0.03
Morningstar Overall Rating™
Overall Morningstar Rating
Rating Category: Global Flexible Bond - EUR Hedged

Morningstar Style Box
| High | Quality | |||
|---|---|---|---|---|
| Medium | ||||
| Low | ||||
| LTD | MOD | EXT | ||
| Duration | ||||
Historical Morningstar Ratings
| Years | 3 |
| Ratings | |
| Number of Funds In Category | 1216 |
| Years | 5 |
| Ratings | |
| Number of Funds In Category | 972 |
| Years | 10 |
| Ratings | |
| Number of Funds In Category | 488 |
Overview
- Summary of Fund Objective
- Investor Profile
- What Are The Key Risks?
- Sustainability-related Disclosures
Summary of Fund Objective
To seek to maximise income and growth of capital (total return), including currency gains. The Fund mainly invests in government bonds issued anywhere in the world and denominated in, or hedged to, EUR. The Fund may invest significantly in Mainland China. Some of these investments may be below investment grade.
Investor Profile
- Seeking to maximise total investment return consisting of a combination of interest income, capital appreciation and currency gains.
- Planning to hold their investment for the medium to long term.
What Are The Key Risks?
The value of shares in the Fund and income received from it can go down as well as up and investors may not get back the full amount invested. Performance may also be affected by currency fluctuations. Currency fluctuations may affect the value of overseas investments.
- The Fund invests mainly in debt securities issued by government or government-related entities in any country and in derivatives. Such securities and derivatives have historically been subject to price movements, generally due to interest rates, foreign exchange rates or movements in the bond market. As a result, the performance of the Fund can fluctuate moderately over time.
- Other significant risks include:
Counterparty risk: the risk of failure of financial institutions or agents (when serving as a counterparty to financial contracts) to perform their obligations, whether due to insolvency, bankruptcy or other causes.
Credit risk: the risk of loss arising from default that may occur if an issuer fails to make principal or interest payments when due. This risk is higher if the Fund holds low-rated, sub-investment-grade securities.
Foreign Currency risk: the risk of loss arising from exchange-rate fluctuations or due to exchange control regulations.
Derivative Instruments risk: the risk of loss in an instrument where a small change in the value of the underlying investment may have a larger impact on the value of such instrument. Derivatives may involve additional liquidity, credit and counterparty risks.
Liquidity risk: the risk that arises when adverse market conditions affect the ability to sell assets when necessary. Such risk may be triggered by (but not limited to) unexpected events such as environmental disasters or pandemics. Reduced liquidity may have a negative impact on the price of the assets.
Emerging markets risk: the risk related to investing in countries that have less developed political, economic, legal and regulatory systems, and that may be impacted by political/economic instability, lack of liquidity or transparency, or safekeeping issues.
For full 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.
Sustainability-related Disclosures
The Fund promotes environmental and social characteristics in accordance with Article 8 of the Sustainable Finance Disclosure Regulation (the “SFDR”).
In its implementation of the Fund’s environmental, social and governance (“ESG”) considerations, the Investment Manager typically favors issuers with either higher proprietary ESG scores or those projected to have neutral to improving ESG scores over the medium term (the next two to three years), as captured by its proprietary ESG methodology. For supranational issuers, the Investment Manager utilizes ESG ratings provided by MSCI. In addition, the Fund refrains from investing in issuers deemed to be among the poorest performers under certain sustainability metrics.
The Fund’s environmental or social characteristics are assessed both quantitatively and qualitatively, by means of sustainability indicators as well as of the Investment Manager’s proprietary ESG ratings system and its research process further described in the Website disclosure’s dedicated sections. As part of its investment decision making process, the Fund’s ESG strategy also uses binding criteria for the selection of underlying assets and applies specific ESG exclusions.
Finally, the Fund has a minimum allocation of 50% of its portfolio to sustainable investments. The Fund ensures that its sustainable investments do not cause significant harm to any environmental or social sustainable investment objective.
Fund Information
Sales Charges, Expenses & Fees
Identifiers
Portfolio Managers
MH
Michael Hasenstab, Ph.D
California, United States
Managed Fund Since 2003

Performance
- Discrete Annual Returns
- Cumulative Total Returns
- Average Annual Total Returns
- Calendar Year Returns
- Risk Measures
Discrete Annual Returns
Discrete Annual Returns
Chart
Month End As of 30/09/2025 | Currency | Sep-24 / Sep-25 | Sep-23 / Sep-24 | Sep-22 / Sep-23 | Sep-21 / Sep-22 | Sep-20 / Sep-21 | Sep-19 / Sep-20 | Sep-18 / Sep-19 | Sep-17 / Sep-18 | Sep-16 / Sep-17 | Sep-15 / Sep-16 | Performance Inception Date | Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 1.00 | 8.47 | 2.46 | -12.10 | -1.76 | -5.55 | -5.19 | -4.70 | 1.79 | 1.04 | 29/08/2003 | ||
| JP Morgan Global Government Bond (Hedged into EUR) Index (%) | EUR | -0.55 | 7.29 | -2.27 | -13.40 | -3.21 | 2.84 | 8.68 | -1.70 | -3.33 | 5.71 | — |
Month End As of 30/09/2025 | Currency | Sep-24 / Sep-25 | Sep-23 / Sep-24 | Sep-22 / Sep-23 | Sep-21 / Sep-22 | Sep-20 / Sep-21 | Sep-19 / Sep-20 | Sep-18 / Sep-19 | Sep-17 / Sep-18 | Sep-16 / Sep-17 | Sep-15 / Sep-16 | Performance Inception Date | Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 6.42 | 14.26 | 10.57 | -25.63 | -2.98 | 1.69 | -11.09 | -6.36 | 7.11 | 1.53 | 08/12/2010 | ||
| A (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 1.03 | 8.38 | 2.50 | -12.11 | -1.73 | -5.61 | -5.17 | -4.79 | 1.85 | 1.08 | 29/08/2003 | ||
| N (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 0.27 | 7.63 | 1.85 | -12.72 | -2.48 | -6.13 | -5.92 | -5.39 | 1.12 | 0.35 | 29/08/2003 | ||
| N (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 0.33 | 8.02 | 1.83 | -12.56 | -2.41 | -6.11 | -5.92 | -5.41 | 1.12 | — | 13/11/2015 |
Cumulative Total Returns
Cumulative Total Returns
2003
2025
Chart
Month End As of 30/09/2025 | Currency | YTD | 1 Month | 3 Months | 6 Months | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception 29/08/2003 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 6.03 | 0.99 | 1.62 | 4.18 | 1.00 | 12.25 | -3.08 | -14.93 | -1.46 | 32.04 | |
| JP Morgan Global Government Bond (Hedged into EUR) Index (%) | EUR | 1.59 | 0.52 | 0.19 | 0.84 | -0.55 | 4.27 | -12.60 | -1.87 | 16.64 | 63.04 |
Month End As of 30/09/2025 | Currency | YTD | 1 Month | 3 Months | 6 Months | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception |
| Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 20.27 | 1.27 | 1.27 | 13.14 | 6.42 | 34.45 | -2.98 | -10.68 | — | -12.20 | 08/12/2010 | ||
| A (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 6.00 | 0.91 | 1.56 | 4.29 | 1.03 | 12.23 | -3.06 | -14.96 | -1.48 | 31.83 | 29/08/2003 | ||
| N (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 5.50 | 0.89 | 1.44 | 3.86 | 0.27 | 9.91 | -6.45 | -20.68 | -11.29 | 13.11 | 29/08/2003 | ||
| N (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 5.61 | 0.75 | 1.24 | 3.86 | 0.33 | 10.36 | -5.82 | — | — | -20.94 | 13/11/2015 |
Average Annual Total Returns
Average Annual Total Returns
Chart
Month End As of 30/09/2025 | Currency | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception 29/08/2003 | |
|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 1.00 | 3.93 | -0.62 | -1.60 | -0.10 | 1.27 | |
| JP Morgan Global Government Bond (Hedged into EUR) Index (%) | EUR | -0.55 | 1.40 | -2.66 | -0.19 | 1.03 | 2.24 |
Month End As of 30/09/2025 | Currency | 1 Year | 3 Years | 5 Years | 10 Years | 15 Years | Since Inception |
| Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 6.42 | 10.37 | -0.60 | -1.12 | — | -0.87 | 08/12/2010 | ||
| A (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 1.03 | 3.92 | -0.62 | -1.61 | -0.10 | 1.26 | 29/08/2003 | ||
| N (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 0.27 | 3.20 | -1.32 | -2.29 | -0.80 | 0.56 | 29/08/2003 | ||
| N (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 0.33 | 3.34 | -1.19 | — | — | -2.35 | 13/11/2015 |
Calendar Year Returns
Calendar Year Returns
Chart
Month End As of 30/09/2025 | Currency | YTD | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | Performance Inception Date | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 6.03 | -1.97 | 6.01 | -9.58 | -3.14 | -6.43 | -4.75 | -2.54 | -0.63 | 0.83 | 3.84 | 29/08/2003 | |
| JP Morgan Global Government Bond (Hedged into EUR) Index (%) | EUR | 1.59 | -0.16 | 3.63 | -14.07 | -3.09 | 4.88 | 4.63 | -0.27 | 0.40 | 2.25 | 1.05 | — |
Month End As of 30/09/2025 | Currency | YTD | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | Performance Inception Date | Fund Overview | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| A (acc) USD - Without Sales Charge (NAV) (%) | USD | 20.27 | -8.18 | 9.35 | -14.87 | -9.82 | 1.94 | -6.82 | -6.91 | 13.33 | -2.38 | -6.83 | 08/12/2010 | ||
| A (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 6.00 | -2.01 | 5.98 | -9.60 | -3.12 | -6.36 | -4.73 | -2.57 | -0.67 | 0.80 | 3.84 | 29/08/2003 | ||
| N (acc) EUR - Without Sales Charge (NAV) (%) | EUR | 5.50 | -2.72 | 5.26 | -10.20 | -3.80 | -7.06 | -5.44 | -3.23 | -1.31 | 0.14 | 3.07 | 29/08/2003 | ||
| N (Ydis) EUR - Without Sales Charge (NAV) (%) | EUR | 5.61 | -2.46 | 5.39 | -10.17 | -3.71 | -7.03 | -5.38 | -3.25 | -1.37 | 0.08 | — | 13/11/2015 |
Risk Measures
Risk Measures
| Statistics | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| Beta | 0.94 | 0.70 | 0.26 |
| Historical Tracking Error | 2.83 | 3.50 | 5.52 |
| Information Ratio | 0.89 | 0.58 | -0.26 |
| Standard Deviation (%) | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) | 5.15 | 4.71 | 4.74 |
| JP Morgan Global Government Bond (Hedged into EUR) Index | 4.62 | 4.86 | 4.21 |
| Sharpe Ratio (%) | 3 Years | 5 Years | 10 Years |
|---|---|---|---|
| A (acc) EUR - Without Sales Charge (NAV) | 0.23 | -0.43 | -0.42 |
Portfolio
Assets
Positions
| Fund | Benchmark | |
|---|---|---|
| Number of Holdings | 56 | 1,101 |
Portfolio Statistics
| Fund | Benchmark | |
|---|---|---|
| Average Weighted Maturity | 9.19 Yrs | 8.33 Yrs |
| Effective Duration | 6.66 Yrs | 6.50 Yrs |
| Yield to Maturity | 3.63% | 3.33% |
| Average Credit Quality | BBB+ | AA |
Portfolio Allocations
- Assets
- Geography
- Currency
Assets
Asset Allocation
Chart
| Fund | ||
|---|---|---|
| Fixed Income | 96.32% | |
| Cash & Cash Equivalents | 3.68% |
Geography
Geographic Allocation
Chart
| Fund | Benchmark | ||
|---|---|---|---|
| 33.78% | — | ||
| 21.20% | 15.61% | ||
| 17.67% | 30.40% | ||
| 11.38% | — | ||
| 6.02% | — | ||
| 5.42% | 1.44% | ||
| 0.90% | — | ||
| -0.06% | 52.56% | ||
| 3.68% | — |
Currency
Currency Exposure
Chart
| Fund | Benchmark | ||
|---|---|---|---|
| 95.72% | 100.00% | ||
| 9.93% | — | ||
| 5.02% | 0.00% | ||
| 2.95% | — | ||
| -13.62% | 0.00% |
Portfolio Holdings
Holdings
Pricing
Pricing History Chart
- 1 Month
- 3 Months
- 6 Months
- YTD
- 1 Year
- 3 Years
- 5 Years
- Since Inception
October 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
October 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
Chart
Share Prices
Highest / Lowest NAV
| Year | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 |
|---|---|---|---|---|---|---|---|---|---|---|
| Highest NAV | €13.33 As on 29/10/2025 | €13.11 As on 17/09/2024 | €12.72 As on 28/12/2023 | €13.25 As on 03/01/2022 | €13.77 As on 16/02/2021 | €14.59 As on 12/02/2020 | €15.49 As on 04/02/2019 | €16.04 As on 25/04/2018 | €16.17 As on 04/04/2017 | €15.91 As on 28/12/2016 |
| Lowest NAV | €12.37 As on 13/01/2025 | €12.32 As on 25/04/2024 | €11.90 As on 06/10/2023 | €11.50 As on 21/10/2022 | €13.17 As on 24/11/2021 | €13.46 As on 26/03/2020 | €14.28 As on 30/08/2019 | €15.12 As on 13/09/2018 | €15.72 As on 18/05/2017 | €15.24 As on 11/02/2016 |
Historical Data - Daily Fund Prices
- 1 Month
- 3 Months
- 6 Months
- YTD
- 1 Year
- 3 Years
- 5 Years
- Since Inception
October 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
October 2025
| SuSunday | MoMonday | TuTuesday | WeWednesday | ThThursday | FrFriday | SaSaturday |
|---|---|---|---|---|---|---|
Historical Pricing Results From 30/09/2025 To 30/10/2025
| Date | NAV | NAV Change | NAV Change (%) |
|---|---|---|---|
| 30/10/2025 | €13.30 | €-0.03 | -0.23% |
| 29/10/2025 | €13.33 | €0.00 | 0.00% |
| 28/10/2025 | €13.33 | €0.01 | 0.08% |
| 27/10/2025 | €13.32 | €0.01 | 0.08% |
| 24/10/2025 | €13.31 | €0.00 | 0.00% |
| 23/10/2025 | €13.31 | €0.00 | 0.00% |
| 22/10/2025 | €13.31 | €-0.02 | -0.15% |
| 21/10/2025 | €13.33 | €0.01 | 0.08% |
| 20/10/2025 | €13.32 | €0.02 | 0.15% |
| 17/10/2025 | €13.30 | €0.00 | 0.00% |
| 16/10/2025 | €13.30 | €0.04 | 0.30% |
| 15/10/2025 | €13.26 | €0.05 | 0.38% |
| 14/10/2025 | €13.21 | €0.00 | 0.00% |
| 13/10/2025 | €13.21 | €0.02 | 0.15% |
| 10/10/2025 | €13.19 | €-0.02 | -0.15% |
| 09/10/2025 | €13.21 | €-0.01 | -0.08% |
| 08/10/2025 | €13.22 | €0.03 | 0.23% |
| 07/10/2025 | €13.19 | €-0.01 | -0.08% |
| 06/10/2025 | €13.20 | €-0.02 | -0.15% |
| 03/10/2025 | €13.22 | €0.00 | 0.00% |
| 02/10/2025 | €13.22 | €0.00 | 0.00% |
| 01/10/2025 | €13.22 | €0.02 | 0.15% |
| 30/09/2025 | €13.20 | €0.01 | 0.08% |
Documents
Product Literature
Fact Sheet - Templeton Sustainable Global Bond (Euro) Fund (A (acc) EUR)
Sales Tools - Applicable non-Valuation Days Calendar for 2025
Regulatory Documents
Prospectus - Franklin Templeton Investment Funds (FTIF)
Annual Report (Abridged) - Franklin Templeton Investment Funds (FTIF)
Annual Report (full) - Franklin Templeton Investment Funds (FTIF)
Semi Annual Report (full) - Franklin Templeton Investment Funds (FTIF)
Semi-Annual Report (abridged) - Franklin Templeton Investment Funds (FTIF)
Articles of Incorporation - Franklin Templeton Investment Funds (FTIF)
