Templeton Emerging Markets Fund (“EMF”) Announces Distribution
Quarterly Distribution Announcement: Templeton Emerging Markets Fund has declared a quarterly distribution of $0.22 per share, payable on March 31, 2025, to shareholders recorded by March 17, 2025, as part of a Managed Distribution Plan aimed at providing consistent income and addressing market price discrepancies.
Plan Details and Considerations: The Fund may distribute long-term capital gains or return of capital if sufficient income is not available, and the Board can amend or terminate the Plan without prior notice, which could impact the market price of the shares; actual distribution amounts for tax purposes will depend on the Fund's performance throughout the fiscal year.
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- Distribution Amount: The Templeton Emerging Markets Fund estimates a distribution of $0.9963 per share for December 2025, with 52% derived from net investment income and 45% as a return of capital, indicating stability and transparency in the fund's distribution strategy.
- Annual Return Rate: As of November 30, 2025, the fund's annualized distribution rate stands at 20.80%, reflecting its ability to generate stable income in the current fiscal year, which may attract more investor interest.
- Managed Distribution Plan: The fund's Board has authorized a Managed Distribution Plan ensuring a fixed quarterly distribution of $0.22 per share, aimed at narrowing the discount between market price and net asset value, thereby enhancing investor confidence.
- Capital Return Risk: Given that the fund may distribute more than its income and net realized capital gains, a portion of the distribution may be a return of capital, which serves as a reminder for investors to carefully assess the fund's investment performance and sources of income.

- Distribution Notification: Templeton Emerging Markets Fund is set to pay a distribution of $0.9963 per share on December 31, 2025, with 52% derived from net realized short-term capital gains, indicating stable capital appreciation performance of the fund.
- Source of Income Analysis: As of September 30, 2025, the cumulative sources of the fund's distributions show that 31% comes from net investment income and 50% from return of capital, reflecting effective capital management while maintaining distributions.
- Managed Distribution Plan: The fund's Board has authorized a Managed Distribution Plan to ensure a fixed quarterly distribution of $0.22 per share, aimed at providing consistent cash flow to shareholders while narrowing the discount between market price and net asset value.
- Investment Performance Caution: While the fund maintains stable distributions, it is crucial to note that return of capital does not equate to investment performance, and investors should interpret distribution data cautiously to avoid misconceptions about yield or income.

- Quarterly Distribution Announcement: Templeton Emerging Markets Fund has declared a quarterly distribution of $0.22 per share, payable on December 31, 2025, aimed at providing shareholders with consistent cash flow and enhancing investor confidence.
- Year-End Special Distribution: The fund will also pay a year-end special distribution of $0.7763 per share, comprising $0.3256 in net investment income and $0.1708 in short-term capital gains, reflecting positive performance in portfolio management.
- Managed Distribution Plan: The fund's Board has authorized a Managed Distribution Plan to provide quarterly distributions at a fixed rate of $0.22 per share, which aims to narrow the discount between market price and net asset value, although success is not guaranteed.
- Capital Return Risks: Should sufficient distributable income be unavailable, the fund may distribute long-term capital gains or return of capital, which could adversely affect market prices, necessitating careful evaluation of the actual investment performance by shareholders.
Quarterly Distribution Announcement: Templeton Emerging Markets Fund has declared a quarterly distribution of $0.22 per share, payable on September 30, 2025, to shareholders of record on September 18, 2025.
Managed Distribution Plan: The Fund's Board has authorized a Managed Distribution Plan to provide consistent quarterly distributions, which may include long-term capital gains or return of capital if sufficient income is not available.
Investment Performance Disclaimer: Shareholders are cautioned not to interpret the distribution amount as a reflection of the Fund's investment performance, as it may include returns of capital and is subject to change based on the Fund's fiscal year investment experience.
Company Overview: Franklin Templeton, the parent company, is a global investment management organization with over 75 years of experience and $1.62 trillion in assets under management, offering a range of investment solutions worldwide.
Quarterly Distribution Announcement: Templeton Emerging Markets Fund has declared a quarterly distribution of $0.22 per share, payable on March 31, 2025, to shareholders recorded by March 17, 2025, as part of a Managed Distribution Plan aimed at providing consistent income and addressing market price discrepancies.
Plan Details and Considerations: The Fund may distribute long-term capital gains or return of capital if sufficient income is not available, and the Board can amend or terminate the Plan without prior notice, which could impact the market price of the shares; actual distribution amounts for tax purposes will depend on the Fund's performance throughout the fiscal year.
Quarterly Distribution Announcement: Templeton Emerging Markets Fund has declared a quarterly distribution of $0.22 per share, payable on March 31, 2025, to shareholders recorded by March 17, 2025, as part of its Managed Distribution Plan aimed at providing consistent income and addressing market price discrepancies.
Investment Performance Disclaimer: Shareholders are advised that the distribution amount does not reflect the Fund's investment performance, and any return of capital should not be confused with yield or income; actual tax reporting will depend on the Fund's fiscal year investment experience.






