FTF Brandywine Global Income Optimiser Fund

As of 13/02/2026

NAV

£0.86

 
 

NAV Change

£0.00

(-0.09%)

Overview

Fund Information
Total Net Assets  As of 31/01/2026 (Updated Monthly)
£394.17 Million
Fund Inception Date 
23/09/2022
Share Class Inception Date 
23/09/2022
Inception Date (Performance) 
08/08/2017
Base Currency for Fund 
GBP
Base Currency for Share Class 
GBP
Benchmark 
Bloomberg Multiverse Index (100% GBP Hedged)
Asset Class 
Fixed Income
Investment Manager 
Franklin Templeton Fixed Income
Investment Vehicle 
Franklin Templeton Funds
Domicile 
United Kingdom
Dividends & Yields
Distribution Frequency 
Quarterly
Distribution Amount  As of 02/01/2026
£0.016889
Payable Date  As of 02/01/2026
27/02/2026
Distribution Yield  As of 13/02/2026 (Updated Monthly)
NaN%
Charges
Initial Charge 
N/A
Annual Charge  As of 31/01/2026
0.25%
Ongoing Charges Figure  As of 31/01/2026
0.33%
Identifiers
ISIN Code 
GB00BNBS6381
Bloomberg Code 
EBRWETW LN
SEDOL Code 
BNBS638
Fund Number 
5148
Citi Code 
ZC7R

Fund Managers

Jack P. McIntyre

Pennsylvania, United States

Managed Fund Since 2017

Anujeet Sareen

Pennsylvania, United States

Managed Fund Since 2017

Brian Kloss

Pennsylvania, United States

Managed Fund Since 2011

Tracy Chen, CFA®

Pennsylvania, United States

Managed Fund Since 2011

Renato Latini, CFA®

Pennsylvania, United States

Managed Fund Since 2020

Michael Arno

Pennsylvania, United States

Managed Fund Since 2020

Performance

Portfolio

Portfolio Holdings

Holdings

As of 31/01/2026 Updated Monthly
Security Name 
Cash & Cash Equivalents
Weight (%) 
6.40
Market Value 
24,397,555
Quantity 
71,930,657
Security Name 
UNITED MEXICAN 8% 07/53 Mat 07/31/2053
Weight (%) 
4.77
Market Value 
18,161,679
Quantity 
495,900,000
Security Name 
BRAZIL 10% 01/01/33
Weight (%) 
4.71
Market Value 
17,932,889
Quantity 
149,830,000
Security Name 
BRAZIL 10% 01/01/35
Weight (%) 
2.16
Market Value 
8,240,992
Quantity 
70,650,000
Security Name 
Freddie FRN 06/25/42 10.6242%
Weight (%) 
2.03
Market Value 
7,753,495
Quantity 
9,900,000
Security Name 
Freddie FRN 05/25/42 8.9473%
Weight (%) 
1.71
Market Value 
6,506,755
Quantity 
8,500,000
Security Name 
EGYPT 0% 14/04/26
Weight (%) 
1.71
Market Value 
6,518,112
Quantity 
441,925,000
Security Name 
WELLS FAR 3.9% 15/03/73
Weight (%) 
1.70
Market Value 
6,464,842
Quantity 
8,913,000
Security Name 
MEXICO 7.5% 05/26/33
Weight (%) 
1.57
Market Value 
5,988,387
Quantity 
150,600,000
Security Name 
COLOMB 11.5% 07/25/46
Weight (%) 
1.47
Market Value 
5,588,560
Quantity 
30,420,000,000

Dividends

Dividends Per Share

Share Class  
EB (inc)
Currency  
GBP
Record Date  
01/01/2026
Ex-Distribution Date  
02/01/2026
Payable Date  
27/02/2026
NAV  
£0.85
Distribution Amount  
£0.016889

Pricing

Pricing History Chart

As of 13/02/2026 Updated Daily

Share Prices

As of 13/02/2026
NAV (Net Asset Value)
£0.86
NAV Change 
£0.00
NAV Change (%) 
-0.09%

Documents

Documents not Available