Valuation: Templeton Emerging Markets Income Fund

Market Cap 308M 269M 254M 230M 431M 29.55B 433M 3.04B 1.17B 15.02B 1.16B 1.13B 48.34B P/E 2024
15.9x
P/E 2025 3.24x
Enterprise Value 370M 323M 305M 277M 519M 35.54B 521M 3.65B 1.41B 18.07B 1.39B 1.36B 58.14B EV / Sales 2024
8.42x
EV / Sales 2025 9.29x
Free-Float
100%
Yield 2024
11.1%
Yield 2025 8.84%
1 day+1.40%
1 week-1.51%
Current month-3.40%
1 month-4.25%
3 months-0.61%
6 months+4.98%
Current year+1.24%
1 week 6.43
Extreme 6.4301
6.75
1 month 6.43
Extreme 6.4301
6.87
Current year 5.75
Extreme 5.75
7
1 year 5.75
Extreme 5.75
7
3 years 4.35
Extreme 4.35
7
5 years 4.33
Extreme 4.33
8.06
10 years 4.33
Extreme 4.33
11.98
Manager TitleAgeSince
President 53 01/12/2018
Director of Finance/CFO 52 01/01/2022
Corporate Officer/Principal 86 07/01/2010
Director TitleAgeSince
Director/Board Member 77 23/10/2009
Director/Board Member 81 23/10/2009
Director/Board Member 94 23/10/2009
Change 5-day change 1-year change 3-year change Capi.($)
+1.40%-1.51%+2.03%+34.64% 308M
+1.50%-0.91%-6.39%+55.27% 166B
-0.81%-6.75%+23.92%+77.56% 155B
+0.50%-5.45%+41.47%+248.57% 104B
+0.83%-0.77%-20.44%+66.73% 83.69B
+1.43%-1.53%-22.02%+34.73% 73.51B
-0.11%-5.44%+61.12%+159.21% 50.23B
-0.25%-2.38%+11.20%+56.79% 48.08B
-1.88%+0.49%-31.30%+27.77% 35.7B
+0.54%-5.97%+35.28%+152.51% 32.55B
Average +0.31%-2.91%+9.49%+91.38% 74.86B
Weighted average by Cap. +0.38%-3.27%+9.72%+96.06%

Financials

2024 2025
Net sales 36.49M 31.82M 30.04M 27.28M 51.11M 3.5B 51.32M 360M 139M 1.78B 137M 134M 5.73B 39.53M 34.47M 32.55M 29.56M 55.38M 3.79B 55.61M 390M 150M 1.93B 149M 145M 6.21B
Net income 15.2M 13.25M 12.51M 11.36M 21.29M 1.46B 21.38M 150M 57.85M 741M 57.1M 55.83M 2.39B 94M 81.97M 77.39M 70.28M 132M 9.02B 132M 927M 358M 4.59B 353M 345M 14.75B
Net Debt 64.98M 56.66M 53.5M 48.59M 91.03M 6.24B 91.41M 641M 247M 3.17B 244M 239M 10.2B 62.47M 54.48M 51.44M 46.71M 87.52M 5.99B 87.88M 616M 238M 3.05B 235M 229M 9.81B
Logo Templeton Emerging Markets Income Fund
Templeton Emerging Markets Income Fund (the Fund) is a closed-end management investment company. The Fund seeks high, current income, with a secondary goal of capital appreciation, by investing under normal market conditions, at least 80% of its net assets in income-producing securities of sovereign or sovereign-related entities and private sector companies in emerging market countries. For purposes of the Fund's 80% policy, income- producing securities of entities in emerging markets include derivative instruments or other investments that have economic characteristics similar to such securities. The Fund invests selectively in bonds from emerging markets around the world to generate income for the Fund, seeking opportunities while monitoring changes in interest rates, currency exchange rates and credit risk. The Fund's portfolio composition includes foreign government and agency securities, corporate bonds and common stocks. The Fund's investment manager is Franklin Advisers, Inc.
Employees
-
Date Price Change Volume
18/09/26 $6.520 -0.15% 88,268
17/09/26 $6.530 +1.40% 191,260
16/09/26 $6.440 -0.31% 187,274
15/09/26 $6.460 -0.92% 201,806
14/09/26 $6.520 -1.66% 138,097
LAST HOURS | 40% Discount: The Best Subscriber-Only Tools to Unlock Hidden Opportunities!
d
:
:
SEIZE THE OFFER!