México

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Rendimiento

Gráficas de Rendimientos del Prospecto - Fondos de Inversión
FRANOPR FRANUSA FT-BOND FT-EMER
FT-GLOB TEMGBIA FT-REAL FT-LIQU
 

Moneda Base: Peso Mexicano
Al 31 de Marzo del 2019 (valores en porcentaje)
Nacional – Deuda
No.FondosFecha de
Lanzamiento
1
mes
3
meses
6
meses
9
meses
12
meses
YTDDesde
Inicio
BF1 FT-LIQU 25/09/2015 0.60 1.77 3.66 5.52 7.40 1.77 21.22
BF2 FT-LIQU 25/09/2015 0.55 1.61 3.32 5.01 6.71 1.61 18.89
BF3 FT-LIQU 25/09/2015 0.50 1.47 3.04 4.59 6.16 1.47 16.91
BFF FT-LIQU 25/09/2015 0.69 2.02 4.06 6.07 8.11 2.02 23.58
BM1 FT-LIQU 25/09/2015 0.60 1.77 3.66 5.52 7.40 1.77 21.23
BM2 FT-LIQU 25/09/2015 0.55 1.61 3.32 5.01 6.72 1.61 19.22
BM3 FT-LIQU 25/09/2015 0.50 1.47 3.04 4.59 6.17 1.47 16.95
BE FT-LIQU 25/09/2015 0.71 2.09 4.16 6.22 8.29 2.09 24.51
BE1 FT-LIQU 25/09/2015 0.69 2.03 4.04 6.03 8.04 2.03 23.55
BE2 FT-LIQU 25/09/2015 0.64 1.89 3.75 5.59 7.44 1.89 21.38
BE3 FT-LIQU 25/09/2015 0.59 1.75 3.45 5.13 6.83 1.75 19.06
BF1 FT-REAL 9/30/2015 1.44 1.94 2.32 4.68 5.73 1.94 21.59
BF2 FT-REAL 9/30/2015 1.35 1.68 1.80 3.91 4.69 1.68 17.49
BF3 FT-REAL 9/30/2015 1.33 1.61 1.66 3.70 4.41 1.61 16.40
BFF FT-REAL 9/30/2015 1.53 2.20 2.71 5.22 6.41 2.20 23.47
BM1 FT-REAL 9/30/2015 1.44 1.92 2.29 4.66 5.70 1.92 21.46
BM2 FT-REAL 9/30/2015 1.35 1.68 1.80 3.91 4.69 1.68 17.35
BM3 FT-REAL 9/30/2015 1.33 1.61 1.66 3.70 4.41 1.61 16.45
BE FT-REAL 9/30/2015 1.57 2.29 2.90 5.50 6.78 2.29 25.62
BE1 FT-REAL 9/30/2015 1.53 2.19 2.69 5.18 6.36 2.19 23.95
BE2 FT-REAL 9/30/2015 1.45 1.96 2.21 4.44 5.36 1.96 19.82
BE3 FT-REAL 9/30/2015 1.43 1.89 2.07 4.24 5.08 1.89 18.74
 
Internacional – Deuda
No.FondosFecha de
Lanzamiento
1
mes
3
meses
6
meses
9
meses
12
meses
YTDDesde
Inicio
BE2 FT-EMER 8/10/2015 -1.74 -0.80 8.75 -1.48 -2.51 -0.80 33.82
BF1 FT-EMER 7/10/2009 -1.82 -1.05 8.36 -1.95 -3.08 -1.05 78.69
BF2 FT-EMER 16/06/2009 -1.85 -1.13 8.18 -2.20 -3.41 -1.13 99.85
BM1 FT-EMER 20/07/2011 -1.82 -1.04 8.37 -1.94 -3.07 -1.04 73.72
BM2 FT-EMER 4/2/2009 -1.85 -1.13 8.18 -2.20 -3.41 -1.13 123.11
BE1 TEMGBIA 1/11/2007 -0.88 0.71 7.70 2.49 8.70 0.71 210.71
BE2 TEMGBIA 1/11/2007 -0.96 0.47 7.18 1.75 7.66 0.47 182.25
BF1 TEMGBIA 1/11/2007 -1.05 0.22 6.80 1.28 7.04 0.22 167.34
BF2 TEMGBIA 1/11/2007 -1.08 0.13 6.62 1.02 6.68 0.13 157.48
BM1 TEMGBIA 1/11/2007 -1.05 0.22 6.80 1.28 7.04 0.22 167.33
BM2 TEMGBIA 1/11/2007 -1.08 0.14 6.62 1.03 6.69 0.14 157.72
 
Internacional – Renta Variable
No.FondosFecha de
Lanzamiento
1
mes
3
meses
6
meses
9
meses
12
meses
YTDDesde
Inicio
B2 FRANOPR 18/08/2006 3.47 17.04 1.86 1.44 18.50 17.04 384,00
B3 FRANOPR 18/08/2006 3.44 16.94 1.70 1.20 18.12 16.94 365.00
B2 FRANUSA 2/3/2005 -0.28 7.71 -1.91 -2.69 7.79 7.71 170.41
B3 FRANUSA 2/3/2005 -0.31 7.62 -2.07 -2.92 7.45 7.62 158.01
BE1 FT-BOND 21/12/2018
BE2 FT-BOND 21/12/2018
BE3 FT-BOND 21/12/2018
BE4 FT-BOND 21/12/2018
BE5 FT-BOND 21/12/2018
BF1 FT-BOND 21/12/2018 1.60 -0.86 -0.86 -2.07
BF2 FT-BOND 21/12/2018 1.61 -082 -0.82 -2.03
BF3 FT-BOND 21/12/2018
BF4 FT-BOND 21/12/2018 1.65 -0.71 -0.71 -1.58
BF5 FT-BOND 21/12/2018
BFF FT-BOND 21/12/2018
BM1 FT-BOND 21/12/2018
BM2 FT-BOND 21/12/2018 1.62 -0.82 -0.82 -2.02
BM3 FT-BOND 21/12/2018
BM4 FT-BOND 21/12/2018
BM5 FT-BOND 21/12/2018
B2 FT-GLOB 4/2/2009 1.56 11.03 -0.28 -4.74 3.37 11.03 239.92
B3 FT-GLOB 11/6/2009 1.53 10.94 -0.44 -4.97 3.05 10.94 187.01
 

Moneda Base: Peso Mexicano
Al 31 de Marzo del 2019 (valores en porcentaje)
Nacional – Deuda
No.FondosFecha
Lanzam
1T 2019
BF1 FT-LIQU 25/09/2015 1.77
BF2 FT-LIQU 25/09/2015 1.61
BF3 FT-LIQU 25/09/2015 1.47
BFF FT-LIQU 25/09/2015 2.02
BM1 FT-LIQU 25/09/2015 1.77
BM2 FT-LIQU 25/09/2015 1.61
BM3 FT-LIQU 25/09/2015 1.47
BE FT-LIQU 25/09/2015 2.09
BE1 FT-LIQU 25/09/2015 2.03
BE2 FT-LIQU 25/09/2015 1.89
BE3 FT-LIQU 25/09/2015 1.75
BF1 FT-REAL 9/30/2015 1.94
BF2 FT-REAL 9/30/2015 1.68
BF3 FT-REAL 9/30/2015 1.61
BFF FT-REAL 9/30/2015 2.20
BM1 FT-REAL 9/30/2015 1.92
BM2 FT-REAL 9/30/2015 1.68
BM3 FT-REAL 9/30/2015 1.61
BE FT-REAL 9/30/2015 2.29
BE1 FT-REAL 9/30/2015 2.19
BE2 FT-REAL 9/30/2015 1.96
BE3 FT-REAL 9/30/2015 1.89
 
Internacional – Deuda
No.FondosFecha
Lanzam
1T 2019
BE2 FT-EMER 8/10/2015 -0.80
BF1 FT-EMER 7/10/2009 -1.05
BF2 FT-EMER 16/06/2009 -1.13
BM1 FT-EMER 20/07/2011 -1.04
BM2 FT-EMER 4/2/2009 -1.13
BE1 TEMGBIA 1/11/2007 0.71
BE2 TEMGBIA 1/11/2007 0.47
BF1 TEMGBIA 1/11/2007 0.22
BF2 TEMGBIA 1/11/2007 0.13
BM1 TEMGBIA 1/11/2007 0.22
BM2 TEMGBIA 1/11/2007 0.14
 
Internacional – Renta Variable
No.FondosFecha
Lanzam
1T 2019
B2 FRANOPR 18/08/2006 17.04
B3 FRANOPR 18/08/2006 16.94
B2 FRANUSA 2/3/2005 7.71
B3 FRANUSA 2/3/2005 7.62
BE1 FT-BOND 21/12/2018
BE2 FT-BOND 21/12/2018
BE3 FT-BOND 21/12/2018
BE4 FT-BOND 21/12/2018
BE5 FT-BOND 21/12/2018
BF1 FT-BOND 21/12/2018 -0.86
BF2 FT-BOND 21/12/2018 -0.82
BF3 FT-BOND 21/12/2018
BF4 FT-BOND 21/12/2018 -0.71
BF5 FT-BOND 21/12/2018
BFF FT-BOND 21/12/2018
BM1 FT-BOND 21/12/2018
BM2 FT-BOND 21/12/2018 -0.82
BM3 FT-BOND 21/12/2018
BM4 FT-BOND 21/12/2018
BM5 FT-BOND 21/12/2018
B2 FT-GLOB 4/2/2009 11.03
B3 FT-GLOB 11/6/2009 10.94
 

Moneda Base: Peso Mexicano
Al 31 de Marzo del 2019 (valores en porcentaje) Rendimientos anualizados.
Nacional – Deuda
No.FondosFecha
Lanzam
3 años5 años10 añosDesde
Lanzamiento
BF1 FT-LIQU 28/09/2015 6.09 5.56
BF2 FT-LIQU 28/09/2015 5.49 4.99
BF3 FT-LIQU 28/09/2015 5.03 4.49
BFF FT-LIQU 28/09/2015 6.74 6.14
BM1 FT-LIQU 28/09/2015 6.09 5.56
BM2 FT-LIQU 28/09/2015 5.48 5.07
BM3 FT-LIQU 28/09/2015 5.02 4.50
BE FT-LIQU 28/09/2015 6.88 6.36
BE1 FT-LIQU 28/09/2015 6.66 6.13
BE2 FT-LIQU 28/09/2015 6.11 5.60
BE3 FT-LIQU 28/09/2015 5.56 5.03
BF1 FT-REAL 9/30/2015 5.79 5.66
BF2 FT-REAL 9/30/2015 4.77 4.65
BF3 FT-REAL 9/30/2015 4.49 4.37
BFF FT-REAL 9/30/2015 6.33 6.12
BM1 FT-REAL 9/30/2015 5.75 5.63
BM2 FT-REAL 9/30/2015 4.75 4.61
BM3 FT-REAL 9/30/2015 4.50 4.38
BE FT-REAL 9/30/2015 6.76 6.64
BE1 FT-REAL 9/30/2015 6.37 6.23
BE2 FT-REAL 9/30/2015 5.36 5.23
BE3 FT-REAL 9/30/2015 5.09 4.96
 
Internacional – Deuda
No.FondosFecha
Lanzam
3 años5 años10 añosDesde
Lanzamiento
BE2 FT-EMER 8/10/2015 7.48 8.61
BF1 FT-EMER 7/10/2009 6.93 7.80 6.22
BF2 FT-EMER 16/06/2009 6.58 7.45 7.22
BM1 FT-EMER 20/07/2011 7.09 8.04 7.33
BM2 FT-EMER 4/2/2009 6.58 7.44 8.11
BE1 TEMGBIA 1/11/2007 7.97 9.42 7.96 10.29
BE2 TEMGBIA 1/11/2007 6.94 8.37 7.20 9.38
BF1 TEMGBIA 1/11/2007 6.39 7.81 6.60 8.86
BF2 TEMGBIA 1/11/2007 6.04 7.46 6.25 8.51
BM1 TEMGBIA 1/11/2007 6.39 7.81 6.60 8.86
BM2 TEMGBIA 1/11/2007 6.05 7.46 6.26 8.52
 
Internacional – Renta Variable
No.FondosFecha
Lanzam
3 años5 años10 añosDesde
Lanzamiento
B2 FRANOPR 18/08/2006 18.78 18.08 17.44 13.11
B3 FRANOPR 18/08/2006 18.40 17.71 17.07 12.76
B2 FRANUSA 2/3/2005 9.43 11.09 12.59 7.21
B3 FRANUSA 2/3/2005 9.09 10.74 12.24 6.86
BE1 FT-BOND 21/12/2018
BE2 FT-BOND 21/12/2018
BE3 FT-BOND 21/12/2018
BE4 FT-BOND 21/12/2018
BE5 FT-BOND 21/12/2018
BF1 FT-BOND 21/12/2018 -7.25
BF2 FT-BOND 21/12/2018 -7.12
BF3 FT-BOND 21/12/2018
BF4 FT-BOND 21/12/2018 -7.02
BF5 FT-BOND 21/12/2018
BFF FT-BOND 21/12/2018
BM1 FT-BOND 21/12/2018
BM2 FT-BOND 21/12/2018 -7.08
BM3 FT-BOND 21/12/2018
BM4 FT-BOND 21/12/2018
BM5 FT-BOND 21/12/2018
B2 FT-GLOB 4/2/2009 10.67 11.40 12.62
B3 FT-GLOB 11/6/2009 10.32 11.05 11.18
 

Moneda Base: Peso Mexicano
Al 31 de Marzo del 2019 (valores en porcentaje)
Nacional – Deuda
No.FondosFecha de
Lanzamiento
201820172016201520142013201220112010200920082007
BF1 FT-LIQU 28/09/2015 7.32 6.38 3.79
BF2 FT-LIQU 28/09/2015 6.64 5.80 3.29
BF3 FT-LIQU 28/09/2015 6.10 5.39 2.85
BFF FT-LIQU 28/09/2015 7.91 7.16 4.19
BM1 FT-LIQU 28/09/2015 7.32 6.38 3.79
BM2 FT-LIQU 28/09/2015 6.64 5.80 3.58
BM3 FT-LIQU 28/09/2015 6.10 5.39 2.85
BE FT-LIQU 28/09/2015 8.06 7.20 4.49
BE1 FT-LIQU 28/09/2015 7.82 6.98 4.28
BE2 FT-LIQU 28/09/2015 7.21 6.45 3.80
BE3 FT-LIQU 28/09/2015 6.46 6.01 3.33
BF1 FT-REAL 9/30/2015 4.93 7.79 6.82
BF2 FT-REAL 9/30/2015 3.91 6.72 5.81
BF3 FT-REAL 9/30/2015 3.63 6.43 5.53
BFF FT-REAL 9/30/2015 5.45 8.41 7.04
BM1 FT-REAL 9/30/2015 4.90 7.74 6.81
BM2 FT-REAL 9/30/2015 3.91 6.72 5.72
BM3 FT-REAL 9/30/2015 3.63 6.43 5.56
BE FT-REAL 9/30/2015 5.82 8.80 7.76
BE1 FT-REAL 9/30/2015 5.41 8.42 7.34
BE2 FT-REAL 9/30/2015 4.41 7.35 6.33
BE3 FT-REAL 9/30/2015 4.13 7.06 6.06
 
Internacional – Deuda
No.FondosFecha de
Lanzamiento
201820172016201520142013201220112010200920082007
BE2 FT-EMER 8/10/2015 -5.83 3.84 31.17
BF1 FT-EMER 7/10/2009 -6.25 3.28 30.62 8.93 6.25 -0.03 8.03 8.83 5.69
BF2 FT-EMER 16/06/2009 -6.56 2.93 30.19 8.57 5.90 -0.35 7.68 8.48 5.36
BM1 FT-EMER 20/07/2011 -6.27 3.16 30.37 10.49 6.25 -0.03 8.03
BM2 FT-EMER 4/2/2009 -6.56 2.93 30.19 8.57 5.89 -0.35 7.68 8.48 5.35
BE1 TEMGBIA 1/11/2007 1.78 -2.39 25.10 10.85 13.05 1.13 7.86 9.54 5.72 11.71 37.25
BE2 TEMGBIA 1/11/2007 0.80 -3.34 23.90 9.76 13.06 1.81 6.81 8.47 4.69 10.61 35.92
BF1 TEMGBIA 1/11/2007 0.36 -3.88 23.36 9.17 12.44 1.23 6.21 7.86 4.04 9.73 35.06
BF2 TEMGBIA 1/11/2007 0.02 -4.21 22.95 8.80 12.07 0.90 5.87 7.51 3.70 9.38 34.63
BM1 TEMGBIA 1/11/2007 0.36 -3.88 23.36 9.17 12.44 1.23 6.21 7.86 4.04 9.73 35.06
BM2 TEMGBIA 1/11/2007 0.03 -4.20 22.96 8.81 12.08 0.91 5.87 7.52 3.71 9.39 34.64
 
Internacional – Renta Variable
No.FondosFecha de
Lanzamiento
201820172016201520142013201220112010200920082007
B2 FRANOPR 18/08/2006 -2.44 19.73 15.93 21.36 19.09 39.09 -0.70 7.56 12.78 31.83 -25.83 19.54
B3 FRANOPR 18/08/2006 -2.75 19.35 15.56 20.97 18.71 38.65 -0.39 7.22 12.42 31.42 -26.07 19.16
B2 FRANUSA 2/3/2005 -11.08 0.82 36.56 9.99 19.26 26.23 2.84 8.47 3.66 24.09 -24.48 0.51
B3 FRANUSA 2/3/2005 -11.36 0.50 36.12 9.64 18.88 25.85 2.51 8.12 3.34 23.73 -24.72 0.20
BE1 FT-BOND 21/12/2018
BE2 FT-BOND 21/12/2018
BE3 FT-BOND 21/12/2018
BE4 FT-BOND 21/12/2018
BE5 FT-BOND 21/12/2018
BF1 FT-BOND 21/12/2018
BF2 FT-BOND 21/12/2018
BF3 FT-BOND 21/12/2018
BF4 FT-BOND 21/12/2018
BF5 FT-BOND 21/12/2018
BFF FT-BOND 21/12/2018
BM1 FT-BOND 21/12/2018
BM2 FT-BOND 21/12/2018
BM3 FT-BOND 21/12/2018
BM4 FT-BOND 21/12/2018
BM5 FT-BOND 21/12/2018
B2 FT-GLOB 4/2/2009 -14.01 13.44 20.78 16.03 14.24 25.83 5.43 1.50 7.84
B3 FT-GLOB 11/6/2009 -14.29 13.08 20.40 15.66 13.88 25.43 5.10 1.18 7.49
 


 
La información y documentos contenidos en esta página de internet han sido elaborados por Franklin Templeton Asset Management México, S.A. de C.V., Sociedad Operadora de Fondos de Inversión. Más información