Market Price
—
GBP · LSE
1-Day Return
—
—
NAV
—
—
AUM
-
Total Assets
Expense Ratio
0.9%
TER · Annual
Holdings
—
Top 10: 47.2%
52W Range
—
—
NR Score
0/100
Q2 2026 · Watch
£0.00+NaN%(1Y)
Last updated: 18 Apr 2026 · Market prices · GBP
Analyst OverviewQ2 2026
Coverage pending. NR Scorecard analysis in progress.
Fund Details
ProviderFranklin Templeton
Inception Date
ExchangeLSE
StructureUCITS Fund
Benchmark Index
Rebalance FrequencyQuarterly
Distribution PolicyDistributing
DomicileIreland
CurrencyGBP
ISIN