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LU1065170612

Franklin European Corporate Bond Fund

As of 16/03/2026

NAV 1

€11.58

 
 

NAV Change 1

€0.01

(0.09%)
As of 28/02/2026

Morningstar Overall Rating™ 2

EUR Corporate Bond

Overview

Summary of Fund Objective

To seek to maximise income and growth of capital (total return). The Fund mainly invests in investment grade corporate bonds denominated in EUR. These investments may be from anywhere in the world.

Sustainability-related Disclosures

The Fund promotes environmental and social characteristics in accordance with Article 8 of the Sustainable Finance Disclosure Regulation (the “SFDR”). 

The Fund employs a proprietary environmental, social and governance (“ESG”) methodology which combines exclusions, engagement and sustainable investments to attain the environmental and social characteristics of the Fund as well as the objectives of the sustainable investments that the Fund partially intends to make.

The Fund’s environmental or social characteristics are assessed both quantitatively and qualitatively, by means of sustainability indicators as well as of the Investment Managers’ proprietary ESG methodology and its research and engagement 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 30% 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. 

Please click here for more information.

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 higher-quality debt securities of corporations located in or doing significant business in European countries. Such securities have historically proven to present some stability over time and have benefitted from a limited exposure to interest rates and movements in the bond market but the performance can fluctuate moderately over time.
  • The Fund may distribute income gross of expenses. Whilst this might allow more income to be distributed, it may also have the effect of reducing capital.
  • Other significant risks include: 
    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. 
    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.

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.

Fund Information
Total Net Assets  As of 28/02/2026 (Updated Monthly)
€47.83 Million
Fund Inception Date 
30/04/2010
Share Class Inception Date 
23/05/2014
Base Currency for Fund 
EUR
Base Currency for Share Class 
EUR
Benchmark 
Bloomberg Euro-Aggregate: Corporates Index
Asset Class 
Fixed Income
Investment Manager 
Franklin Templeton Investment Management Limited
Investment Vehicle 
Franklin Templeton Investment Funds
Domicile 
Luxembourg
EU SFDR Category 
Article 8
Minimum Investment 
USD 1000
Charges 3
Initial Charge 
N/A
Ongoing Charges Figure  As of 28/02/2026
0.60%
Identifiers
CUSIP Code 
L4060H686
ISIN Code 
LU1065170612
Bloomberg Code 
TEUCWAE LX
SEDOL Code 
BMM1ZX2
Fund Number 
1636

Fund Managers

David Zahn, CFA®

London, United Kingdom

Managed Fund Since 2010

Emmanuel Teissier

London, United Kingdom

Managed Fund Since 2010

Marc Kremer, CFA®

New York, United States

Managed Fund Since 2010

Performance

Portfolio

Portfolio Holdings

Holdings

As of 28/02/2026 Updated Monthly
Security Name 
Cash and Cash Equivalents
Weight (%) 
1.95
Market Value 
931,964
Quantity 
Security Name 
Unicredit Spa 3.8% 01/16/2033 *FIXED TO FLOAT* REG S
Weight (%) 
1.18
Market Value 
565,413
Quantity 
550,000
Security Name 
Banco Santander SA 4.875% 10/18/2031 REG S
Weight (%) 
1.15
Market Value 
551,281
Quantity 
500,000
Security Name 
Citigroup Inc 4.112% 09/22/2033 *FIXED TO FLOAT* REG S
Weight (%) 
1.11
Market Value 
531,287
Quantity 
500,000
Security Name 
HOWOGE Wohnungsbaugesellschaft Mbh 3.875% 06/05/2030 REG S
Weight (%) 
1.11
Market Value 
528,789
Quantity 
500,000
Security Name 
Amprion Gmbh 05/21/2031 REG S
Weight (%) 
1.11
Market Value 
528,780
Quantity 
500,000
Security Name 
Engie SA 3.875% 03/06/2036 REG S
Weight (%) 
1.11
Market Value 
530,803
Quantity 
500,000
Security Name 
Nykredit Realkredit A/S 4% 04/24/2035 *FIXED TO FLOAT* REG S
Weight (%) 
1.10
Market Value 
526,499
Quantity 
500,000
Security Name 
Iberdrola Finanzas SA 4.247% 08/28/2174 PERP REG S
Weight (%) 
1.09
Market Value 
521,920
Quantity 
500,000
Security Name 
SBAB Bank AB 3.375% 05/21/2031 *FIXED TO FLOAT* REG S
Weight (%) 
1.09
Market Value 
520,268
Quantity 
500,000

These securities do not represent all of the securities purchased, sold or recommended for clients, and the reader should not assume that investment in the securities listed was or will be profitable. 

Pricing

Pricing History Chart

As of 16/03/2026 Updated Daily

Share Prices

As of 16/03/2026
NAV1 (Net Asset Value)
€11.58
NAV Change1 
€0.01
NAV Change (%)1 
0.09%
Highest / Lowest NAV
As of 16/03/2026 Updated Daily
Year 
Highest NAV
2026  
€11.77 As on 27/02/2026
2025  
€11.69 As on 22/10/2025
2024  
€11.43 As on 11/12/2024
2023  
€10.88 As on 28/12/2023
2022  
€11.80 As on 05/01/2022
2021  
€12.03 As on 05/08/2021
2020  
€11.97 As on 11/12/2020
2019  
€11.72 As on 30/08/2019
2018  
€11.13 As on 08/01/2018
2017  
€11.17 As on 07/11/2017
Year 
Lowest NAV
2026  
€11.57 As on 13/03/2026
2025  
€11.21 As on 14/01/2025
2024  
€10.70 As on 17/01/2024
2023  
€10.04 As on 02/03/2023
2022  
€9.82 As on 21/10/2022
2021  
€11.79 As on 26/11/2021
2020  
€10.67 As on 19/03/2020
2019  
€10.87 As on 07/01/2019
2018  
€10.86 As on 20/11/2018
2017  
€10.75 As on 01/02/2017

Documents

Product Literature

PDF Format

Fact Sheet - Franklin European Corporate Bond Fund (W (acc) EUR)

PDF Format

Forms And Applications

PDF Format

Forms And Applications

Fund Literature

PDF Format

Key Information Document - Franklin European Corporate Bond Fund W (acc) EUR

PDF Format

Έγγραφο βασικών πληροφοριών - Franklin European Corporate Bond Fund W (acc) EUR

PDF Format

Prospectus - Franklin Templeton Investment Funds (FTIF)

PDF Format

Annual Report (Abridged) - Franklin Templeton Investment Funds (FTIF)

PDF Format

Annual Report (full) - Franklin Templeton Investment Funds (FTIF)

PDF Format

Semi Annual Report (full) - Franklin Templeton Investment Funds (FTIF)

PDF Format

Semi-Annual Report (abridged) - Franklin Templeton Investment Funds (FTIF)

PDF Format

Articles of Incorporation - Franklin Templeton Investment Funds (FTIF)