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Franklin UK Rising Dividends Fund A(inc) (0P0000UD9I.L)

LSE - LSE Delayed price. Currency in GBp (0.01 GBP)
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556.96+1.51 (+0.27%)
As of 09:00PM BST. Market open.

Performance overview

Morningstar return rating★★★
Year-to-date returnN/A
5-year average returnN/A
Number of years up7
Number of years down3
Best 1-yr total return (Invalid Date)22.91%
Worst 1-yr total return (Invalid Date)-25.16%
Best 3-yr total return22.91%
Worst 3-yr total return-3.44%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
Return0P0000UD9I.LCategory
YTD15.65%4.87%
1-month-0.53%1.45%
3-month2.83%4.87%
1-year24.75%18.12%
3-year6.32%6.82%
5-year8.17%11.38%
10-year9.46%6.89%
Last bull market0.00%0.00%
Last bear market0.00%0.00%

Annual total return (%) history

Year
0P0000UD9I.LCategory
2021
N/AN/A
2020
-7.14%N/A
2019
21.78%N/A
2018
-8.90%N/A
2017
12.12%N/A
2016
13.09%N/A
2015
6.62%6.91%
2014
5.35%0.14%
2013
22.91%30.20%
2012
9.44%18.69%
2011
-0.45%-9.52%
2010
12.48%22.85%
2009
17.65%37.07%
2008
-25.16%-34.91%
2007
5.47%-1.61%
2006
14.06%18.87%
2005
19.81%21.75%
2004
11.69%16.72%
2003
18.03%27.85%
2002
-18.00%-22.13%
2001
-10.09%-9.70%
2000
-0.07%4.76%
1999
17.35%33.33%
1998
15.49%4.13%
1997
23.91%17.74%
1996
20.96%16.44%
1995
29.95%17.83%
1994
-3.29%-4.61%
1993
37.92%36.97%
1992
13.19%18.65%
1991
11.00%6.80%
1990
N/A-19.25%

Past quarterly returns (%)

YearQ1Q2Q3Q4
20215.13%6.12%N/AN/A
2020-22.43%10.06%-1.25%10.14%
20199.67%2.82%2.73%5.12%
2018-5.92%7.34%-1.08%-8.81%
20176.23%2.22%1.66%1.57%
20161.81%2.56%8.16%0.15%
20156.61%-2.84%-3.18%6.32%
2014-0.14%4.22%-0.98%2.23%
201311.23%-0.73%3.36%7.69%
20125.40%-2.34%3.91%2.31%
20111.69%1.81%-10.88%7.89%
20104.76%-10.57%14.15%5.18%
2009-12.34%8.01%17.77%5.50%
2008-10.52%-0.93%-10.29%-5.90%
20072.62%2.53%-0.26%0.51%
20067.75%-2.50%3.84%4.55%
20053.25%5.74%6.24%3.29%
2004-0.30%2.81%2.83%5.96%
2003-5.40%13.14%1.58%8.56%
20023.47%-10.19%-16.25%5.36%
2001-6.95%1.47%-13.11%9.60%
2000-2.64%-1.56%0.53%3.71%
19998.78%-1.55%-4.28%14.48%
199816.94%-0.21%-12.63%13.27%
19977.39%2.90%11.82%0.28%
19964.27%4.02%4.39%6.84%
19951.18%7.62%12.46%6.12%
19940.89%-6.37%2.80%-0.40%
19934.40%5.69%12.24%11.37%
19920.05%3.24%-1.26%10.97%
199111.79%-0.87%6.45%-5.91%
19905.62%-14.06%5.48%N/A

Rank in category (by total return)

YTD50
1-month15
3-month43
1-year81
3-year51
5-year77

Load adjusted returns

1-year15.89%
3-year2.81%
5-year5.91%
10-year7.29%