Announcement

MKTUPDTE: TEM: Net Asset Value as at 20 November 2019 08:31am 
TEM
22/11/2019 08:31
MKTUPDTE
NOT PRICE SENSITIVE
REL: 0831 HRS Templeton Emerging Markets Plc

MKTUPDTE: TEM: Net Asset Value as at 20 November 2019

On behalf of TEMIT, Franklin Templeton International Services S.a r.l.
reports the unaudited cumincome net asset value ("NAV") of TEMIT as at 20th
November 2019 was ?2,180 m, representing a NAV of 893.72 pence per share.

The unaudited ex-income NAV of TEMIT as at 20th November 2019 was ?2,134 m,
representing a NAV of 874.74 pence per share.

In accordance with the Association of Investment Companies recommendations,
the cum-income NAV has been calculated based on the total value of underlying
assets, including accumulated or accrued income, and using bid price
information relating to the underlying assets. The ex-income NAV has been
calculated based on the total value of underlying assets, excluding these
income elements, and using bid price information relating to the underlying
assets.

The NAV of TEMIT is calculated daily at US close of markets using the latest
available closing bid prices in each market of investment. However, where
appropriate, these prices are adjusted to a fair value basis having regard to
a range of market triggers and proxies.

There was no material fair value adjustment of the assets as at US close to
report for today's NAVs.

Portfolio data for TEMIT can be found on the website www.TEMIT.co.uk.

For information please contact Client Dealer Services on freephone 0800 305
306. These figures have been prepared by Franklin Templeton Investments and
are their sole responsibility.

End of Announcement
End CA:00344718 For:TEM Type:MKTUPDTE Time:2019-11-22 08:31:14

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