FTGS Franklin Multi-Asset Conservative Fund X USD Accumulation header image

FTGS Franklin Multi-Asset Conservative Fund X USD Accumulation

Fund

ISIN IE00BYZ0G931 / Valor 31955994

NAV (2026-05-28)
USD 105.18+0.13%

FTGS Franklin Multi-Asset Conservative Fund X USD Accumulation
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The FTGS Franklin Multi-Asset Cnsrv Fd. aims to provide both income and growth by investing in a diverse selection of other mutual funds and ETFs. The portfolio is primarily composed of over 60% bond-focused funds, which include a mix of corporate and government bonds from around the world, with a limited exposure to emerging markets. Additionally, at least 15% of the fund is allocated to equity-oriented funds to balance growth potential. The investment manager can adjust the balance between bonds and equities based on their view of the market and economic conditions, ensuring a dynamic and adaptable investment strategy.

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Tags:
bloomberg global aggregate index income fund of funds

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OTHER SHARE CLASSES OF THIS FUND

FTGS Franklin Multi-Asset Conservative Fund A USD Accumulation
FTGS Franklin Multi-Asset Conservative Fund A USD Accumulation FTGS Franklin Multi-Asset Conservative Fund A USD Accumulation Valor: 25407926
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Annual Return

-50%0%+50%

Risk level

110
0.14%USD 131.33
FTGS Franklin Multi-Asset Conservative Fund PR USD Accumulation
FTGS Franklin Multi-Asset Conservative Fund PR USD Accumulation FTGS Franklin Multi-Asset Conservative Fund PR USD Accumulation Valor: 52797905
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.13%USD 120.48
FTGS Franklin Multi-Asset Conservative Fund E USD Accumulation
FTGS Franklin Multi-Asset Conservative Fund E USD Accumulation FTGS Franklin Multi-Asset Conservative Fund E USD Accumulation Valor: 25407931
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.14%USD 118.52
FTGS Franklin Multi-Asset Conservative Fund A USD Dis (A)
FTGS Franklin Multi-Asset Conservative Fund A USD Dis (A) FTGS Franklin Multi-Asset Conservative Fund A USD Dis (A) Valor: 25407929
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Annual Return

-50%0%+50%

Risk level

110
0.13%USD 131.19