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Morningstar® Fund Report™
Overview
Chart
Performance
Risk and Rating
Portfolio
Management
Fees
Filings
Print
PDF
Methodology
Glossary
Franklin Pharma Fund Growth
Morningstar Rating™
(Relative to Category)
-
Morningstar Return
Morningstar Risk (Rel to Cat)
Morningstar Rating™
3-Year
-
-
Not Rated
5-Year
-
-
Not Rated
10-Year
-
-
Not Rated
Overall
-
-
Not Rated
Category
:
Sector - Healthcare
Click here to see our Methodology
Volatility Measurements
31/08/2011
Volatility
-
3-Yr Mean Return
-
Sharpe Ratio
-
Modern Portfolio Statistics
-
Standard Index
Best Fit Index
S&P BSE Healthcare PR
R-Squared
83.34
-
3-Yr Beta
0.84
-
3-Yr Alpha
14.58
-
Return/Risk Analysis
31/08/2011
Risk Measurement
1 Year
3 Years
5 Years
Standard Deviation
14.82
-
-
Sharpe Ratio
0.28
-
-
Sortino Ratio
-
-
-
Positive Months
9
24
24
Negative Months
3
8
8
Worst Month
-6.53
-6.53
-6.53