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advisormonthly - Franklin Templeton Investments

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Global & International Equity January 31, 2014<strong>Franklin</strong> Mutual Global Discovery FundEffective July 29, 2013, Mutual Global Discovery Fund and Mutual Global Discovery Corporate Class were renamed <strong>Franklin</strong> Mutual Global Discovery Fundand <strong>Franklin</strong> Mutual Global Discovery Corporate Class, respectively.<strong>Franklin</strong> Mutual SeriesINVESTMENT OBJECTIVE & STRATEGYThis Fund seeks long-term capital appreciation byinvesting primarily in the equity and debt securities ofissuers around the world.MORNINGSTAR CATEGORYGlobal EquityRATINGMorningstar Rating OverallPORTFOLIO MANAGERSPhilippe Brugère-TrélatPeter LangermanTim RankinFUND FACTS30 Years, New Jersey, United States28 Years, New Jersey, United States22 Years, New Jersey, United StatesPrice per Unit $16.73Assets of the Fund $1,240,479,482 2Inception Date 02/17/2003Positions 1 155Portfolio Turnover Rate (06/30/2013) 16.95%MER (06/30/2013 incl. HST) 2.64%BenchmarkMSCI World Index1 <strong>Franklin</strong> Mutual Global Discovery Fund positions are divided into equity and non-equity(distressed book) positions. Each non-equity position shows up separately, distorting thenumber of securities in the Fund.2 Inclusive of trust and corporate class versions where applicable.RISK CLASSIFICATIONREASONS TO INVEST IN THIS FUND:• A true “go anywhere” global mandate, investing around the world in all-cap equities and across all assetclasses.• The portfolio manager employs a distinctive, three-pronged approach to investing that has withstood the testof time for 56 years, uncovering opportunities in undervalued stocks, merger arbitrage and distressedsecurities.Calendar Year Returns in Canadian Dollars (%)2013 2012 2011 2010 2009 2008 2007 2006 2005 2004Series A 27.98 12.57 -3.40 7.73 13.94 -26.27 3.77 18.88 11.96 11.01Category Average Return 28.39 11.92 -7.10 6.58 16.54 -29.31 -5.04 17.18 7.26 5.74Source: Morningstar Research Inc.40.00%20.00%0.00%-20.00%-40.00%2013 2012 2011 2010 2009 2008 2007 2006 2005 2004• Series ACompounded Returns and Category Returns in Canadian Dollars (%)• Category Average ReturnYTD 1 Mo 3 Mo 6 Mo 1 Year 3 Years 5 Years 10 years Since Inc^Series A -2.05 -2.05 1.64 7.27 18.57 10.10 11.10 6.19 7.25Category Average Return 0.10 0.10 4.99 12.61 22.96 9.57 12.34 3.58 5.70Source: Morningstar Research Inc.HOLDINGSTop Country Weightings (% of Total)^ Fund inception dateAsset Class Weightings (%)LowLow toMediumMediumMedium toHighHighFUND CODESSERIES CDN$ US$Series A Front 180 181Series A DSC 182 183Series A Low Load 184 185Series F 225 261Series I 3255 3363Series O 106 145Series T Front 3059 3256Series T DSC 3061 3258Series T Low Load 3060 3257CORPORATE CLASS CDN$ US$Series A Front 370 371Series A DSC 372 373Series A Low Load 374 375Series F 376 377Series I 3259 3362Series O 119 147Series T Front 3161 3260Series T DSC 3163 3262Series T Low Load 3162 3261United States 54.61United Kingdom 15.89France 6.06Netherlands 4.49Germany 3.24Israel 3.17South Korea 2.06Hong Kong 1.91Others 8.21Cash & Cash Equivalents 0.36Top Holdings (%)Vodafone Group PLC 2.60ACE Ltd 2.05Apple Inc. 2.02American International Group Inc 1.99Microsoft Corp 1.99Royal Dutch Shell 1.87Medtronic Inc 1.82Teva Pharmaceutical Industries Ltd 1.79ING Group NV 1.74Wells Fargo & Co 1.66Top Sector Weightings (% Total)• Undervalued Equities 91.52• Distressed <strong>Investments</strong> 7.87• Cash & Other Net Assets 0.36• Merger Arbitrage 0.25Financials 27.83Information Technology 11.77Energy 11.12Consumer Discretionary 10.64Consumer Staples 10.00Health Care 9.63Industrials 7.93Telecommunication Services 4.24Others 6.48Cash & Cash Equivalents 0.36Fund available in Corporate Class-Series T. Within the Corporate Class structure, you can switch between Corporate Class-Series A—to maximize tax-deferredcompound growth—and Corporate Class-Series T, to meet cash flow requirements.Did you know? The Series T version of this Fund pays monthly distributions, calculated as 8% of the final NAV of the previous year and split into 12 monthlyinstallments. 8% targeted Series T Return of Capital payout rate may change at the discretion of <strong>Franklin</strong> <strong>Templeton</strong> <strong>Investments</strong>.180 FFE 0114For Dealer Use Only. Not For Distribution to the Public.FRANKLIN TEMPLETON INVESTMENTS <strong>advisormonthly</strong> 45

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