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Templeton Releases Closed-End Funds' Portfolio Allocation Updates

FORT LAUDERDALE, FL -- (Marketwire) -- 06/21/11 -- The Templeton closed-end Funds referenced below, which trade on the New York Stock Exchange, today released portfolio allocation updates containing the following information as of May 31, 2011:

--  Asset Allocation
--  Ten Largest Positions/Portfolio Characteristics
--  International Allocation/Net Currency Distribution
--  Industry Allocation/Country Distribution

To obtain a copy of the updates, please contact Fund Information at 1-800-342-5236.

Templeton closed-end Funds:

Templeton Emerging Markets Fund (NYSE: EMF)

Templeton Emerging Markets Income Fund (NYSE: TEI)

Templeton Global Income Fund (NYSE: GIM)

The Funds' investment managers are subsidiaries of Franklin Resources, Inc. (NYSE: BEN), a global investment management organization operating as Franklin Templeton Investments. Franklin Templeton Investments provides global and domestic investment management solutions managed by its Franklin, Templeton, Mutual Series, Fiduciary Trust, Darby and Bissett investment teams. The San Mateo, CA-based company has more than 60 years of investment experience and over $735 billion in assets under management as of May 31, 2011. For more information, please call 1-800/DIAL BEN® or visit franklintempleton.com.

                      TEMPLETON EMERGING MARKETS FUND
                            AS OF MAY 31, 2011
                      TOTAL NET ASSETS: $431,174,274
                    NET ASSET VALUE PER SHARE: $23.84


                   PERCENT                                          PERCENT
                     OF                                               OF
                    TOTAL                                            TOTAL
                     NET                                              NET
ASSET ALLOCATION   ASSETS  TEN LARGEST POSITIONS                    ASSETS
----------------   ------  ---------------------------------------- ------
EQUITY*             100.0% BRILLIANCE CHINA AUTOMOTIVE HOLDINGS LTD    6.8%
                   ------  VALE SA                                     6.6%
                    100.0% PETROLEO BRASILEIRO SA (PETROBRAS)          4.9%
                           AKBANK TAS                                  4.2%
                           SESA GOA LTD                                4.1%
                           SK INNOVATION CO LTD                        3.8%
                           TATA CONSULTANCY SERVICES LTD               3.7%
                           ITAU UNIBANCO HOLDING SA                    3.5%
                           P T ASTRA INTERNATIONAL TBK                 3.5%
                           BANCO BRADESCO SA                           3.5%
                                                                    ------
                                                                      44.6%


                   PERCENT                                         PERCENT
                     OF                                               OF
                  PORTFOLIO                                       PORTFOLIO
INTERNATIONAL       NET                                              NET
 ALLOCATION        ASSETS  INDUSTRY ALLOCATION                      ASSETS
----------------   ------  ---------------------------------------- ------
ASIA                 67.0% CONSUMER DISCRETIONARY                     15.3%
  CHINA              18.3%   AUTOMOBILES & COMPONENTS                 13.1%
  HONG KONG           6.4%   CONSUMER DURABLES & APPAREL               2.2%
  INDIA              11.0% CONSUMER STAPLES                            5.8%
  INDONESIA           6.9%   FOOD & STAPLES RETAILING                  5.5%
  PAKISTAN            2.0%   HOUSEHOLD & PERSONAL PRODUCTS             0.3%
  SOUTH KOREA         6.3% ENERGY                                     28.3%
  THAILAND            9.2% FINANCIALS                                 21.7%
  TURKEY              6.9%   BANKS                                    20.9%
EUROPE               11.8%   REAL ESTATE                               0.8%
  AUSTRIA             0.9% INDUSTRIALS                                 2.9%
  HUNGARY             1.4%   CAPITAL GOODS                             2.2%
  POLAND              0.3%   TRANSPORTATION                            0.8%
  RUSSIA              7.1% INFORMATION TECHNOLOGY                      5.3%
  UNITED KINGDOM      2.2%   SOFTWARE & SERVICES                       3.7%
LATIN AMERICA        20.7%   TECHNOLOGY HARDWARE & EQUIPMENT           1.6%
  BRAZIL             18.6% MATERIALS                                  20.6%
  MEXICO              2.1% TOTAL EQUITY*                             100.0%
MID-EAST/AFRICA       0.5%
  SOUTH AFRICA        0.5%
TOTAL EQUITY*       100.0%

You may request a copy of the Fund's current Report to Shareholders by contacting Fund Information at 1-800/DIAL BEN® (1-800-342-5236). Since markets can go down as well as up, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The industry allocation uses MSCI's industry definitions for the convenience of comparison. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The Fund's portfolio is actively managed and investment allocations can be expected to change.

* EQUITY INCLUDES CONVERTIBLE AND PREFERRED SECURITIES.

                  TEMPLETON EMERGING MARKETS INCOME FUND
                            AS OF MAY 31, 2011
                      TOTAL NET ASSETS: $800,498,539
                    NET ASSET VALUE PER SHARE: $16.85


                            PERCENT OF
                            TOTAL NET   PORTFOLIO
ASSET ALLOCATION             ASSETS      CHARACTERISTICS
----------------           -----------  ----------------------------------
CASH & OTHER                       6.4% WEIGHTED AVG. MATURITY 8.1765 yrs.
FIXED INCOME                      93.6% WEIGHTED AVG. DURATION 4.4872 yrs.
                           -----------  WEIGHTED AVG. COUPON      7.4117%
                                 100.0%


                            PERCENT OF                          PERCENT OF
                            TOTAL NET                           TOTAL NET
NET CURRENCY DISTRIBUTION    ASSETS     COUNTRY DISTRIBUTION     ASSETS
-------------------------- -----------  ---------------------- -----------
ASIA                               2.7% ASIA                          15.9%
  INDO RUPIAH                      8.9%   FIJI                         1.6%
  JAPANESE YEN                   -10.0%   INDIA                        0.5%
  MALAYSI RINGGIT                  0.7%   INDONESIA                    8.9%
  SOUTH KOREAN WON                 0.8%   PAKISTAN                     1.7%
  SRI LANKA RUPEE                  2.2%   SRI LANKA                    2.7%
EUROPE                             3.2%   TURKEY                       0.5%
  EURO MON UNIT                   -1.0% EUROPE                        29.0%
  POLAND ZLOTY                     0.8%   BOSNIA AND HERZEGOVINA       0.8%
  UKRAINE HRYVNIA                  3.4%   CROATIA                      1.1%
LATIN AMERICA                     14.3%   CYPRUS                       0.2%
  BRAZILIAN REAL                   9.3%   GEORGIA                      0.4%
  MEXICAN PESO                     5.0%   HUNGARY                      0.5%
MID-EAST/AFRICA                    3.1%   KAZAKHSTAN                   7.3%
  GHANA CEDI NEW                   3.1%   LITHUANIA                    1.6%
NORTH AMERICA                     76.7%   RUSSIA                       6.3%
  US DOLLAR                       76.7%   UKRAINE                     10.8%
TOTAL                            100.0% LATIN AMERICA                 33.4%
                                          ARGENTINA                    9.0%
                                          BRAZIL                       9.9%
                                          COLOMBIA                     0.8%
                                          EL SALVADOR                  0.4%
                                          MEXICO                       3.0%
                                          PANAMA                       0.5%
                                          PERU                         2.5%
                                          TRINIDAD AND TOBAGO          0.7%
                                          VENEZUELA                    6.6%
                                        MID-EAST/AFRICA               11.9%
                                          GHANA                        3.1%
                                          IRAQ                         5.1%
                                          SOUTH AFRICA                 2.0%
                                          UNITED ARAB EMIRATES         1.7%
                                        OTHER                          7.8%
                                          SUPRANATIONAL                1.5%
                                          CASH                         6.7%
                                          DERIVATIVES                 -0.4%
                                        NORTH AMERICA                  2.0%
                                          UNITED STATES                2.0%
                                        TOTAL                        100.0%

You may request a copy of the Fund's current Report to Shareholders by contacting Fund Information at 1-800/DIAL BEN® (1-800-342-5236). Since markets can go down as well as up, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change.

                       TEMPLETON GLOBAL INCOME FUND
                            AS OF MAY 31, 2011
                     TOTAL NET ASSETS: $1,355,224,146
                    NET ASSET VALUE PER SHARE: $10.26

                           PERCENT OF
                            TOTAL NET     PORTFOLIO
ASSET ALLOCATION             ASSETS        CHARACTERISTICS
----------------           -----------    ---------------------------------
CASH & OTHER                      17.8%   WEIGHTED AVG. MATURITY 5.4885 yrs
FIXED INCOME                      82.2%   WEIGHTED AVG. DURATION 3.2151 yrs
                           -----------    WEIGHTED AVG. COUPON       5.703%
                                 100.0%



                              PERCENT OF                         PERCENT OF
                              TOTAL NET                          TOTAL NET
NET CURRENCY DISTRIBUTION      ASSETS     COUNTRY DISTRIBUTION    ASSETS
-------------------------    -----------  --------------------- ----------
ASIA                               26.5%  ASIA                        27.9%
  INDIAN RUPEE                      4.3%    INDIA                      0.7%
  INDO RUPIAH                       7.4%    INDONESIA                  9.0%
  JAPANESE YEN                    -21.8%    MALAYSIA                   0.6%
  MALAYSI RINGGIT                  13.2%    PHILIPPINES                0.2%
  PHILIPPINE PESO                   5.6%    SOUTH KOREA               14.4%
  SOUTH KOREAN WON                 15.5%    SRI LANKA                  2.4%
  SRI LANKA RUPEE                   2.4%    VIETNAM                    0.7%
AUSTRALIA/NEW ZEALAND              12.0%  AUSTRALIA/NEW ZEALAND        8.4%
  AUSTRALIAN DOLLAR                12.0%    AUSTRALIA                  8.4%
EUROPE                              3.1%  EUROPE                      23.1%
  BRITISH POUND                     6.4%    HUNGARY                    2.8%
  EURO MON UNIT                   -32.7%    LITHUANIA                  2.1%
  NORWEGIAN KRONE                   8.9%    NORWAY                     1.3%
  POLAND ZLOTY                      8.5%    POLAND                     9.1%
  SWEDISH KRONA                    12.0%    RUSSIA                     2.0%
LATIN AMERICA                      24.9%    SWEDEN                     4.2%
  BRAZILIAN REAL                    8.5%    UNITED KINGDOM             1.5%
  CHILEAN PESO                      7.0%  LATIN AMERICA               18.9%
  MEXICAN PESO                      6.4%    ARGENTINA                  1.8%
  PERU NUEVO SOL                    2.9%    BRAZIL                     8.5%
MID-EAST/AFRICA                     7.5%    MEXICO                     4.5%
  EGYPTIAN POUND                    2.2%    PERU                       2.9%
  ISRAELI SHEKEL                    5.2%    VENEZUELA                  1.3%
NORTH AMERICA                      26.0%  MID-EAST/AFRICA              6.6%
  US DOLLAR                        26.0%    EGYPT                      2.2%
TOTAL                             100.0%    ISRAEL                     2.8%
                                            SOUTH AFRICA               1.6%
                                          NORTH AMERICA                2.4%
                                            UNITED STATES              2.4%
                                          OTHER                       12.7%
                                            SUPRANATIONAL              3.6%
                                            CASH                       8.1%
                                            DERIVATIVES                0.9%
                                          TOTAL                      100.0%

You may request a copy of the Fund's current Report to Shareholders by contacting Fund Information at 1-800/DIAL BEN® (1-800-342-5236). Since markets can go down as well as up, investment return and principal value will fluctuate with market conditions, currency volatility, and the economic, social and political climates of countries where the Fund invests. Emerging markets involve heightened risks related to the same factors, in addition to those associated with their relatively small size and lesser liquidity. You may have a gain or loss when you sell your shares. The information provided is as of the date shown and comes from sources considered reliable, but the Fund makes no representation or warranty as to its completeness or accuracy. The weightings do not include the impact of currency forwards within the country weightings. The Fund's portfolio is actively managed and investment allocations can be expected to change.

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