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FRT0023AU

Franklin Templeton Global Aggregate Bond Fund

As of 27/11/2025

NAV

$1.0672

 
 

NAV Change

$0.0001

(0.0094%)
 

Entry Price

$1.0677

 
 

Exit Price

$1.0667

 

Overview

Fund Information

Investment Objective

The investment objective of the Fund is to outperform the Bloomberg Barclays Global Aggregate Bond (Hedged into AUD) Index over a full market cycle using a risk-controlled approach.

Why Consider This Fund?

  • The Fund invests in a diversified portfolio of global fixed income securities.
  • A professionally managed active yet benchmark-aware portfolio seeking to outperform the Bloomberg Barclays Global Aggregate Bond Index (Hedged to AUD).
  • A disciplined research-driven approach seeking to add value through country and currency allocation, sector rotation, duration and yield curve management, as well as security selection.

The value of investments may go up and down, investment returns are not guaranteed, and investors may lose some of their money. The appropriate level of risk for each person is dependent on a range of factors including age, investment time frame and an investor's risk tolerance. For further information relating to the risks of the Fund, refer to the relevant Product Disclosure Statement.

This product is likely to be appropriate for a consumer seeking income and capital preservation, to be used as a minor or core allocation within a portfolio where the consumer has at least 5 years investment timeframe, medium risk profile and needs access to capital within 10 Business Days.

Fund Availability

  • Asgard
  • BT Panorama
  • BT Wrap
  • Colonial FirstWrap
  • Hub24
  • IOOF
  • Macquarie Wrap
  • Mason Stevens
  • MLC Navigator
  • MLC Wrap
  • Netwealth
  • Powerwrap
  • Praemium
  • uXchange

 

Fund Information
Asset Class 
Fixed Income
Total Net Assets  As of 31/10/2025 (Updated Monthly)
$30.10 Million
Benchmark 
Bloomberg Global Aggregate (Hedged into AUD) Index
Share Class Inception Date 
18/10/2012
Base Currency for Fund 
AUD
Suggested Investment Time Frame 
Five Years
Buy/Sell Spread 
0.05%/0.05%
Distributions
Distribution Frequency 
Quarterly
Distribution Amount  As of 30/06/2021
$0.072736
Payable Date  As of 30/06/2021
07/07/2021
Charges
Management Fees and Costs 
0.35
Performance Fee 
Identifiers
ARSN 
160 124 096
APIR 
FRT0023AU

Fund Managers

David Zahn, CFA®

London, United Kingdom

Managed Fund Since 2012

John Beck

London, United Kingdom

Managed Fund Since 2012

Patrick A. Klein, Ph.D

California, United States

Managed Fund Since 2019

Sonal Desai, Ph.D

Florida, United States

Managed Fund Since 2018

Performance

Portfolio

Distribution

Pricing

Pricing History Chart

As of 27/11/2025 Updated Daily

Share Prices

As of 27/11/2025
Entry Price 
$1.0677
Exit Price 
$1.0667
NAV (Net Asset Value)
$1.0672
NAV Change 
$0.0001
NAV Change (%) 
0.0094%
Highest / Lowest NAV
As of 27/11/2025 Updated Daily
Year 
Highest NAV
2025  
$1.0672 As on 27/11/2025
2024  
$1.0170 As on 16/09/2024
2023  
$0.9813 As on 27/12/2023
2022  
$1.0410 As on 03/01/2022
2021  
$1.2352 As on 04/01/2021
2020  
$1.2352 As on 22/12/2020
2019  
$1.1879 As on 03/09/2019
2018  
$1.0931 As on 02/04/2018
2017  
$1.1135 As on 26/06/2017
2016  
$1.1809 As on 30/06/2016
Year 
Lowest NAV
2025  
$0.9832 As on 13/01/2025
2024  
$0.9529 As on 16/04/2024
2023  
$0.9147 As on 19/10/2023
2022  
$0.9025 As on 23/10/2022
2021  
$1.0387 As on 25/11/2021
2020  
$1.1092 As on 19/03/2020
2019  
$1.0780 As on 01/01/2019
2018  
$1.0477 As on 15/11/2018
2017  
$1.0749 As on 24/10/2017
2016  
$1.0822 As on 12/12/2016

Documents

Product Literature

PDF Format

Product Commentary - Franklin Templeton Global Aggregate Bond Fund

Regulatory Documents

PDF Format

Product Disclosure Statement - Franklin Templeton Global Aggregate Bond Fund - Class M

PDF Format

Annual Report - Franklin Templeton Australia Funds

PDF Format

TMD - Franklin Templeton Global Aggregate Bond Fund