FRANKLIN INCOME FUND CLASS A1

Publish date: 2024-07-16
Alpha 1 Year-7.12 Alpha 10 Years-3.08 Alpha 15 Years-0.86 Alpha 20 Years-0.58 Alpha 3 Years-2.93 Alpha 5 Years-2.93 Average Gain 1 Year2.60 Average Gain 10 Years2.24 Average Gain 15 Years2.32 Average Gain 20 Years2.34 Average Gain 3 Years2.43 Average Gain 5 Years2.62 Average Loss 1 Year-1.91 Average Loss 10 Years-2.06 Average Loss 15 Years-2.00 Average Loss 20 Years-2.32 Average Loss 3 Years-2.55 Average Loss 5 Years-2.31 Batting Average 1 Year16.67 Batting Average 10 Years33.33 Batting Average 15 Years37.22 Batting Average 20 Years40.00 Batting Average 3 Years36.11 Batting Average 5 Years36.67 Beta 1 Year0.57 Beta 10 Years0.58 Beta 15 Years0.58 Beta 20 Years0.63 Beta 3 Years0.50 Beta 5 Years0.56 Capture Ratio Down 1 Year72.79 Capture Ratio Down 10 Years64.72 Capture Ratio Down 15 Years61.29 Capture Ratio Down 20 Years65.23 Capture Ratio Down 3 Years53.27 Capture Ratio Down 5 Years58.12 Capture Ratio Up 1 Year49.70 Capture Ratio Up 10 Years52.81 Capture Ratio Up 15 Years58.35 Capture Ratio Up 20 Years64.13 Capture Ratio Up 3 Years48.09 Capture Ratio Up 5 Years51.42 Correlation 1 Year86.46 Correlation 10 Years87.37 Correlation 15 Years87.33 Correlation 20 Years86.97 Correlation 3 Years86.66 Correlation 5 Years88.05 High 1 Year2.35 Information Ratio 1 Year-2.18 Information Ratio 10 Years-0.98 Information Ratio 15 Years-0.85 Information Ratio 20 Years-0.49 Information Ratio 3 Years-0.58 Information Ratio 5 Years-0.93 Low 1 Year2.12 Maximum Loss 1 Year-7.31 Maximum Loss 10 Years-16.36 Maximum Loss 15 Years-16.36 Maximum Loss 20 Years-39.07 Maximum Loss 3 Years-12.85 Maximum Loss 5 Years-16.36 Performance Current Year6.49 Performance since Inception12,093.66 Risk adjusted Return 10 Years2.10 Risk adjusted Return 3 Years-0.71 Risk adjusted Return 5 Years2.98 Risk adjusted Return Since Inception1.80 R-Squared (R²) 1 Year74.76 R-Squared (R²) 10 Years76.33 R-Squared (R²) 15 Years76.26 R-Squared (R²) 20 Years75.64 R-Squared (R²) 3 Years75.10 R-Squared (R²) 5 Years77.53 Sortino Ratio 1 Year0.82 Sortino Ratio 10 Years0.53 Sortino Ratio 15 Years1.14 Sortino Ratio 20 Years0.69 Sortino Ratio 3 Years0.12 Sortino Ratio 5 Years0.62 Tracking Error 1 Year8.28 Tracking Error 10 Years8.12 Tracking Error 15 Years7.75 Tracking Error 20 Years7.73 Tracking Error 3 Years10.18 Tracking Error 5 Years9.74 Trailing Performance 1 Month3.05 Trailing Performance 1 Week1.27 Trailing Performance 1 Year9.55 Trailing Performance 10 Years65.03 Trailing Performance 2 Years14.52 Trailing Performance 3 Months5.84 Trailing Performance 3 Years14.76 Trailing Performance 4 Years45.00 Trailing Performance 5 Years38.60 Trailing Performance 6 Months6.90 Trailing Return 1 Month0.47 Trailing Return 1 Year8.68 Trailing Return 10 Years4.62 Trailing Return 15 Years7.82 Trailing Return 2 Months2.71 Trailing Return 2 Years7.26 Trailing Return 20 Years6.37 Trailing Return 3 Months1.00 Trailing Return 3 Years3.92 Trailing Return 4 Years9.44 Trailing Return 5 Years6.11 Trailing Return 6 Months3.33 Trailing Return 6 Years6.06 Trailing Return 7 Years5.75 Trailing Return 8 Years6.65 Trailing Return 9 Months11.06 Trailing Return 9 Years5.76 Trailing Return Since Inception9.80 Trailing Return YTD - Year to Date3.33 Treynor Ratio 1 Year7.94 Treynor Ratio 10 Years5.55 Treynor Ratio 15 Years11.86 Treynor Ratio 20 Years7.71 Treynor Ratio 3 Years0.66 Treynor Ratio 5 Years8.04

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