Master data
Franklin Templeton Investment Funds SICAV - Frankl
Code number
812922
ISIN
LU0170473374
Symbol
TEPK
Issuer
Franklin Templeton Investment Funds
Security type
Bond Funds
Country
Germany
Home market
n/a
Focus
Renten Europa
Market segment
Berlin Open Market
Price data
Last
EUR15.59
Change
EUR+0.01
Change in %
%+0.064
Date
24/11/2025
Time
08:25:02
Spread
%0.706
Bid
EUR15.58
Bid Size
11,300
Ask
EUR15.69
Ask Size
11,300
Open
EUR15.59
Previous day
EUR15.58
High
EUR15.59
Low
EUR15.59
52 weeks high
EUR15.68
52 weeks low
EUR15.06
Volume last trade
0
Volume
0
Turnover
EUR0.00
Lead Broker
| Name | Clearing account number |
|---|---|
| Baader Bank AG | 1260 |
Times & Sales
| Date | Time | Last | Volume |
|---|---|---|---|
| 24/11/2025 | 08:25:02 | 15.59 | 0 |
