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TEI - Templeton Emerging M...

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Templeton Emerging Markets Income Fund

TEI

NYSE

Templeton Emerging Markets Income Fund is a closed-ended fixed income mutual fund launched by Franklin Resources, Inc. It is managed by Franklin Advisers, Inc. The fund invests in the fixed income markets of emerging market countries across the globe. It primarily invests in bonds issued by sovereign or sovereign-related entities and private sector companies. The fund benchmarks the performance of its portfolio against the J.P. Morgan Emerging Markets Bond Index. Templeton Emerging Markets Income Fund was formed on September 23, 1993 and is domiciled in the United States.

5.23 USD

0.0575 (1.1%)

Earnings

00.10.20.30.40.52022 Q32022 Q42023 Q12023 Q22023 Q42023 Q42024 Q12024 Q4EPS Consensus

Dividends

00.10.20.30.40.50.60.7Dec 27, 1993Dec 29, 1997Mar 28, 2001Jun 28, 2004Sep 26, 2007Dec 14, 2010Mar 26, 2014Jun 27, 2017Mar 14, 2019Apr 14, 2020May 14, 2021Jun 16, 2022Jul 19, 2023Aug 19, 2024DividendAdjusted Dividend

Splits

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From:

To:

Date

Revenue

Earnings

Estimated Earnings

Surprise

2024-06-29

8.48M

0.1

0

-

2024-05-23

8.68M

0.44

0

-

2024-03-31

8.48M

0.1

0

-

2023-09-30

6.98M

0.22

0

-

2023-06-30

3.69M

0.29

0

-

2023-03-31

6.37M

0.15

0

-

2022-12-31

-47.05M

0.15

0

-

2022-09-30

6.17M

0.07

0

-

2022-06-30

-8.14M

1

0

-

2022-03-31

6.56M

-0.68

0

-

2021-12-31

-23.99M

1

0

-

2021-09-30

8.24M

-0.22

0

-

2021-06-30

2.48M

1

0

-

2021-03-31

7.48M

-0.06

0

-

2020-12-31

-31.67M

1

0

-

2020-09-30

5.3M

0.1

0

-

2020-08-07

-11.13M

1

0

-

2020-03-31

6.38M

-0.33

0

-

2019-12-31

946.68k

1

0

-

2019-09-30

8.15M

-0.32

0

-

2019-06-30

26.41M

0.45

0

-

2019-03-31

10.34M

0.23

0

-

2019-03-25

22.59M

-0.71

0

-

2018-09-30

11.29M

0.02

0

-

2018-09-27

71.78k

-0

0

-

2018-03-31

11.78M

-0.48

0

-

2018-03-13

11.85M

0.19

0

-

2017-09-30

11.85M

0.19

0

-

2017-07-14

11.81M

0.41

0

-

2017-03-31

11.81M

0.41

0

-

2016-11-08

10.28M

0.64

0

-

2016-05-31

10.28M

0.64

0

-

2016-03-23

8.84M

-0.18

0

-

2016-02-29

8.84M

-0.18

0

-

2015-10-23

7.71M

-0.12

0

-

2015-05-31

7.71M

-0.12

0

-

2015-05-15

12.12M

-0.51

0

-

2014-11-30

12.12M

-0.51

0

-

2014-10-15

12.18M

0.3

0

-

2014-05-31

12.18M

0.3

0

-

2014-04-30

14.37M

0.3

0

-

2013-11-30

14.37M

0.3

0

-

2013-11-19

14.43M

-0.48

0

-

2013-05-31

14.43M

-0.48

0

-

2013-04-16

15.41M

0.75

0

-

2013-02-28

15.41M

0.75

0

-

2012-11-19

14.82M

0.19

0

-

2012-05-31

14.82M

0.19

0

-

2012-02-29

30.2M

0.78

0

-

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