Franklin US Low Duration Fund

Franklin U.S. Low Duration Fund A(acc)EUR  /  LU1162222563

Franklin Templeton Investment Funds

3037º of 3037


Roger Bayston

Roger Bayston, CFA, SVP (Franklin Templeton Fixed Income Group), is a senior portfolio manager for several fixed income funds. He directs research and trading activities for government- and asset-backed securities. A member of the Fixed Income Policy Committee, he sets strategies for multi-sector bond portfolios. He leads Franklin's quantitative-based bond strategies team. At the firm since 1991, he holds a B.S. (Univ. of Virginia) and an MBA (UCLA) and belongs to the CFA Institute.

David Yuen

David Yuen was appointed Chief Investment Officer of Global Long/Short Absolute Return Strategy in 2010. Previously, he was co-CIO of US Large Cap Value Equities and CIO of the Advanced Value Fund (since 2009), as well as director of research for US Large Cap Value (since early 2008). Yuen had been the director of research for Emerging Markets Value since August 2002. He joined Bernstein in 1998 as a research analyst, covering the global retailing industry, and became a senior research analyst in 1999, c...

Kent Burns

KENT BURNS, CFA Senior Vice President Portfolio Manager Franklin Templeton Fixed Income Group Franklin Advisers, Inc. San Mateo, California, United States Kent Burns is a senior vice president and portfolio manager for the Franklin Templeton Fixed Income Group. He specializes in U.S. multi-sector fixed income strategies and government-related bonds. Mr. Burns joined Franklin Templeton Investments in 1994. He holds a B.A. in quantitative economics and decision science from University of California...

MORNINGSTAR RF Diversificada Corto Plazo USD

Related funds

JPM Managed Reserves Fund

JPMorgan Asset Mgmt (Europe) SA r l
Total Net Assets Net asset value
26.27 M € 8,351.92 €

PIMCO GIS Low Average Duration Fund

PIMCO Global Advisors (Ireland) Limited
Total Net Assets Net asset value
16.62 M $ 14.22 $

BGF US Dollar Short Duration Bond Fund

BlackRock (Luxembourg) SA
Total Net Assets Net asset value
23.93 M $ 8.59 $

Last seen funds

AJAX Call to get Product Chart AJAX Call to get Product Chart

How to buy this fund?


Basic conditions

  • Minimum participation: 
  • Opening commission:  5.00%
  • Max. Annual Fee:  0.65%
  • Redemption Fee: 

app version

Wed Oct 26 18:38:14 CEST 2016