Templeton Emerging Markets Investment Trust PLC ("TEMIT")
Legal Entity Identifier 5493002NMTB70RZBXO96
The following amendment has been made to the TEMIT Month End NAV Announcement released on 5th January 2018 under RNS number 1094B. A pdf copy of the full announcement is attached herewith.
All other details remain unchanged.
Performance to 31st Dec 2017
Share price - annualised Net asset value - annualised MSCI Emerging Market Index - annualised
|
3 Months %
+4.2
+5.3
+6.6
|
1 Year %
+32.5
+30.8
+25.8
|
3 Years %
+48.9 +14.2 +50.0 +14.5 +51.3 +14.8
|
5 Years %
+42.5 +7.3 +46.2 +7.9 +51.4 +8.7
|
10 Years %
+90.4 +6.7 +85.4 +6.4 +79.8 +6.0
|
Share price Net asset value MSCI Emerging Market Index
|
Year to 31st Dec 2017 % +32.5 +30.8 +25.8
|
Year to 31st Dec 2016 % +47.9 +49.2 +33.1
|
Year to 31st Dec 2015 % -24.0 -23.1 -9.7
|
Year to 30st Dec 2014 % +5.0 +7.0 +4.3
|
Year to 31st Dec 2013 % -8.9 -9.0 -4.1
|
For information please contact Winterflood (Corporate Broker) Neil Langford on + 44 (0) 20 3100 0160.
END OF ANNOUNCEMENT