TEM templeton emerging markets plc ordinary shares

Ann: QUARTER: TEM: Templeton Emerging Markets Investment Trust...

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    • Release Date: 07/07/15 08:30
    • Summary: QUARTER: TEM: Templeton Emerging Markets Investment Trust PLC
    • Price Sensitive: No
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    					TEM
    07/07/2015 08:30
    QUARTER
    PRICE SENSITIVE
    REL: 0830 HRS Templeton Emerging Markets Plc
    
    QUARTER: TEM: Templeton Emerging Markets Investment Trust PLC
    
    On behalf of TEMIT, Franklin Templeton International Services S.? r.l.
    reports the unaudited net asset value
    ("NAV") of TEMIT Shares at 30th June 2015 as follows:
    
    NAV 578.8 pence (Cum-Income)
    NAV 576.5 pence (Ex-Income)
    
    FINANCIAL PERFORMANCE
    Performance to 30 June 2015
    
    Share price
    - annualised
    Net asset value
    - annualised
    MSCI Emerging Market Index
    - annualised 3 Months
    %
    
    -5.8
    
    -8.4
    
    -4.8
     1 Year
    %
    
    -6.6
    
    -5.4
    
    +3.5
     3 Years
    %
    
    +0.7
    +0.2
    +4.1
    +1.4
    +12.4
    +4.0
     5 Years
    %
    
    +3.5
    +0.7
    +8.9
    +1.7
    +15.9
    +3.0
     10 Years
    %
    
    +200.8
    +11.6
    +182.6
    +11.0
    +156.6
    +9.9
    
    Share price
    Net asset value
    MSCI Emerging Market Index
        Year to
     30
    June     2015
    %
    -6.6
    -5.4
    +3.5
        Year to
    30
    June
    2014
    %
     +2.7
     +1.5
     +1.7
       Year to
     30
    June    2013
    %
     +5.0
     +8.3
     +6.8
        Year to
    30
    June     2012
    %
     -17.2
     -16.9
     -13.7
       Year to
    30
    June     2011
    %
     +24.1
     +25.9
     +19.4
    
    All figures in the performance table are calculated in Sterling on a total
    return basis i.e. with net dividends reinvested.
    Source: Franklin Templeton Investments
    
    Date: 6th July 2015
    
    On behalf of TEMIT, Franklin Templeton International Services S.? r.l.
    reports the top ten holdings in TEMIT as at 30th June 2015 as follows:
    
    Country Security Industry % of total net assets
    Hong Kong / China Brilliance China Automotive  Consumer Discretionary 8.7
    Thailand Siam Commercial Bank  Financials 4.1
    Brazil Itau Unibanco, ADR Financials 4.0
    Hong Kong / China Dairy Farm Consumer Staples 3.8
    United Kingdom Unilever Consumer Staples 3.7
    Indonesia Astra International Consumer Discretionary 3.7
    Brazil Banco Bradesco, ADR Financials 3.7
    South Korea Hyundai Development Industrials 3.4
    Hong Kong / China VTech Information Technology 3.3
    Pakistan MCB Bank Financials 3.3
       41.7
    
    Date: 6th July 2015
    
    On behalf of TEMIT, Franklin Templeton International Services S.? r.l.
    reports as at 30th June 2015,
    TEMIT's investment by industry class was:
    
    Sector % of  total assets
    
    Financials 26.1
    Energy 20.0
    Consumer Discretionary 17.5
    Materials 10.4
    Consumer Staples 8.3
    Information Technology 7.9
    Industrials 5.5
    
    TEMIT's other current assets  4.3
    
     100.0
    
    Date: 6th July 2015
    
      The securities used to calculate the above NAV and industry percentages
    have been valued on a bid basis - the
      valuation of the assets is as at each local market close or, where
    appropriate, adjusted for changes in the fair
      value of these assets at US close.
    
    TEMIT's investment in emerging markets was:
    
     % of total assets
    LATIN AMERICA
    Brazil 12.7
    Peru 2.5
    
    ASIA
    Hong Kong / China 28.1
    Thailand 13.2
    South Korea 7.4
    Indonesia 6.5
    India 5.5
    Pakistan 4.5
    Singapore 1.0
    
    MIDDLE EAST
    Jordan 0.1
    
    EUROPE
    United Kingdom 3.7
    Turkey 3.3
    Russia 1.9
    
    AFRICA
    South Africa 5.1
    Nigeria 0.2
    
    TEMIT's other current assets  4.3
    
     100.0
    
    As at 30th June 2015 TEMIT did not have any holdings in other Investment
    Companies.
    
     The securities used to calculate the above NAV have been valued on a bid
    basis - the valuation of the assets is as
     at each local market close or, where appropriate, adjusted for changes in
    the fair value of these assets at US close.
    
    For further information please contact Client Dealer Services at Franklin
    Templeton International Services S.? r.l. on free phone 0800 305 306 or +44
    (0) 20 7073 8690 for overseas investors.
    
      Date: 6th July 2015
    
    End of Announcement.
    End CA:00266702 For:TEM    Type:QUARTER    Time:2015-07-07 08:30:29
    				
 
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