FRANKLIN MULTI-ASSET GROWTH FUND A

Alpha 1 Year10.01 Alpha 10 Years4.86 Alpha 15 Years7.59 Alpha 20 Years3.93 Alpha 3 Years11.85 Alpha 5 Years8.92 Average Gain 1 Year4.12 Average Gain 10 Years2.77 Average Gain 15 Years3.08 Average Gain 20 Years2.89 Average Gain 3 Years3.45 Average Gain 5 Years3.69 Average Loss 1 Year-2.62 Average Loss 10 Years-3.27 Average Loss 15 Years-3.34 Average Loss 20 Years-3.42 Average Loss 3 Years-3.65 Average Loss 5 Years-4.20 Batting Average 1 Year50.00 Batting Average 10 Years58.33 Batting Average 15 Years60.00 Batting Average 20 Years57.92 Batting Average 3 Years52.78 Batting Average 5 Years56.67 Beta 1 Year1.36 Beta 10 Years0.96 Beta 15 Years0.79 Beta 20 Years0.74 Beta 3 Years1.45 Beta 5 Years1.26 Capture Ratio Down 1 Year59.17 Capture Ratio Down 10 Years69.83 Capture Ratio Down 15 Years39.11 Capture Ratio Down 20 Years66.13 Capture Ratio Down 3 Years60.78 Capture Ratio Down 5 Years72.06 Capture Ratio Up 1 Year142.03 Capture Ratio Up 10 Years137.35 Capture Ratio Up 15 Years157.03 Capture Ratio Up 20 Years118.14 Capture Ratio Up 3 Years150.84 Capture Ratio Up 5 Years165.39 Correlation 1 Year84.44 Correlation 10 Years33.87 Correlation 15 Years24.06 Correlation 20 Years21.82 Correlation 3 Years70.90 Correlation 5 Years46.84 High 1 Year16.25 Information Ratio 1 Year1.34 Information Ratio 10 Years0.33 Information Ratio 15 Years0.49 Information Ratio 20 Years0.19 Information Ratio 3 Years0.80 Information Ratio 5 Years0.54 Low 1 Year14.17 Maximum Loss 1 Year-8.65 Maximum Loss 10 Years-22.45 Maximum Loss 15 Years-22.45 Maximum Loss 20 Years-49.15 Maximum Loss 3 Years-21.41 Maximum Loss 5 Years-22.45 Performance Current Year0.13 Performance since Inception371.57 Risk adjusted Return 10 Years2.55 Risk adjusted Return 3 Years1.00 Risk adjusted Return 5 Years1.77 Risk adjusted Return Since Inception2.01 R-Squared (R²) 1 Year71.31 R-Squared (R²) 10 Years11.47 R-Squared (R²) 15 Years5.79 R-Squared (R²) 20 Years4.76 R-Squared (R²) 3 Years50.26 R-Squared (R²) 5 Years21.94 Sortino Ratio 1 Year1.48 Sortino Ratio 10 Years0.58 Sortino Ratio 15 Years0.99 Sortino Ratio 20 Years0.52 Sortino Ratio 3 Years0.38 Sortino Ratio 5 Years0.72 Tracking Error 1 Year7.93 Tracking Error 10 Years12.62 Tracking Error 15 Years13.63 Tracking Error 20 Years13.75 Tracking Error 3 Years10.75 Tracking Error 5 Years14.57 Trailing Performance 1 Month1.24 Trailing Performance 1 Week1.53 Trailing Performance 1 Year12.23 Trailing Performance 10 Years80.39 Trailing Performance 2 Years0.74 Trailing Performance 3 Months10.03 Trailing Performance 3 Years13.99 Trailing Performance 4 Years27.03 Trailing Performance 5 Years50.31 Trailing Performance 6 Months4.64 Trailing Return 1 Month3.91 Trailing Return 1 Year16.13 Trailing Return 10 Years5.99 Trailing Return 15 Years9.35 Trailing Return 2 Months11.87 Trailing Return 2 Years-0.10 Trailing Return 20 Years5.84 Trailing Return 3 Months9.06 Trailing Return 3 Years5.32 Trailing Return 4 Years6.14 Trailing Return 5 Years9.04 Trailing Return 6 Months5.00 Trailing Return 6 Years5.79 Trailing Return 7 Years7.27 Trailing Return 8 Years7.37 Trailing Return 9 Months10.36 Trailing Return 9 Years6.21 Trailing Return Since Inception5.68 Trailing Return YTD - Year to Date16.13 Treynor Ratio 1 Year7.89 Treynor Ratio 10 Years4.86 Treynor Ratio 15 Years10.60 Treynor Ratio 20 Years5.88 Treynor Ratio 3 Years1.94 Treynor Ratio 5 Years5.59

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