Franklin Templeton Investments

2019 Top 400 ranking: 27https://www.ftinstitutionalemea.com

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Manager Details

Franklin Templeton
At Franklin Templeton, we’re dedicated to one goal: delivering better client outcomes. By bringing together multiple, world-class investment teams in a single firm, we’re able to offer specialized expertise across styles and asset classes, all supported by the strength and resources of one of the world’s largest asset managers.

Investment excellence and rigor
At the core of our firm you’ll find multiple independent investment teams—each with a focused area of expertise—from traditional to alternative strategies and multi-asset solutions. Across the firm, our portfolio teams share a commitment to excellence grounded in rigorous, fundamental research and robust, disciplined risk management.

Global scale and local insights
In today’s complex and interconnected world, smart investing demands a global perspective. Having pioneered global investing more than 60 years ago, our perspective is built on decades of experience and shaped by the local expertise of investment professionals who are on the ground across the globe, working to spot smart investment ideas and potential risks firsthand.

Strength and Experience
Today, Franklin Templeton is a global leader with $715.2 billion in asset management serving individuals and institutions in over 170 countries (as of June 30, 2019). Since our founding in 1947, we’ve stayed focused on putting clients first and delivering relevant investment solutions, strong long-term results and reliable, personal service that have helped us to become a trusted partner to investors around the globe.

News from IPE

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White Papers / Research from Franklin Templeton Investments

  • Cybersecurity: Trade-Offs In Technology weblink

    The cyber threat matrix accelerates as it gathers sophistication.

  • Why Are Investors Turning to Emerging Market Corporate Bonds? download

    Emerging market debt has expanded significantly. Its continued evolution has opened the way for more sophisticated investment strategies which exploit its diversity to improve diversification and manage risks. This is the case of Emerging Market (EM) corporate bonds. The sustained deepening of the asset class will make it even harder to ignore as an attractive investment opportunity. Alongside this growth, the increasing variety of EM corporate issuers offers continued opportunities ...

  • Quantitative Science—Actively Adding To Fixed Income Decisions weblink

    Quantitative vs. active debate? This Fixed Income Markets explains how our “active quant” approach sets us apart.

  • The Four Pillars To Face A World Of Uncertainty weblink

    Global investors are facing extraordinary economic, political and financial market conditions that risk sending the world into a perilous period. In particular, we are closely watching several key areas of concern, including:

  • An Update On Our ESG Scores - Balancing E, S, and G to understand Global Macro Views. weblink

    In early 2018, Templeton Global Macro (TGM) published Global Macro Shifts issue 9— Environmental, Social and Governance Factors in Global Macro Investing [GMS-9]. The paper explored how we evaluate environmental, social and governance (ESG) factors in our macroeconomic research process and described the process of codifying the team’s research discussions into quantifiable scores.

View more White Papers / Research from Franklin Templeton Investments

Analysis from IPE

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Head Office
One Franklin Parkway
Building 970
1st Floor
San Mateo
CA 94403
United States
Contact
Belén Carballeda Fernández Tel. +34 91 426 36 26
Company website:
https://www.ftinstitutionalemea.com
Year Founded:
1947

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What’s new

  • Cybersecurity: Trade-Offs In Technology

    Cybersecurity: Trade-Offs In Technology

    White papersTue, 5 Nov 2019

    The cyber threat matrix accelerates as it gathers sophistication.

  • Why Are Investors Turning to Emerging Market Corporate Bonds?

    Why Are Investors Turning to Emerging Market Corporate Bonds?

    White papersMon, 4 Nov 2019

    Emerging market debt has expanded significantly. Its continued evolution has opened the way for more sophisticated investment strategies which exploit its diversity to improve diversification and manage risks. This is the case of Emerging Market (EM) corporate bonds. The sustained deepening of the asset class will make it even harder to ignore as an attractive investment opportunity. Alongside this growth, the increasing variety of EM corporate issuers offers continued opportunities ...

  • Quantitative Science—Actively Adding To Fixed Income Decisions

    Quantitative Science—Actively Adding To Fixed Income Decisions

    White papersTue, 29 Oct 2019

    Quantitative vs. active debate? This Fixed Income Markets explains how our “active quant” approach sets us apart.

  • The Four Pillars To Face A World Of Uncertainty

    The Four Pillars To Face A World Of Uncertainty

    White papersMon, 14 Oct 2019

    Global investors are facing extraordinary economic, political and financial market conditions that risk sending the world into a perilous period. In particular, we are closely watching several key areas of concern, including:

  • An Update On Our ESG Scores - Balancing E, S, and G to understand Global Macro Views.

    An Update On Our ESG Scores - Balancing E, S, and G to understand Global Macro Views.

    White papersTue, 8 Oct 2019

    In early 2018, Templeton Global Macro (TGM) published Global Macro Shifts issue 9— Environmental, Social and Governance Factors in Global Macro Investing [GMS-9]. The paper explored how we evaluate environmental, social and governance (ESG) factors in our macroeconomic research process and described the process of codifying the team’s research discussions into quantifiable scores.

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