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Templeton Emerging Markets (TEM) Share Price

Price 232.50p on 02-12-2025 at 19:40:08
Change 1.50p 0.65%
Buy 233.00p
Sell 232.50p
Last Trade: Buy 350,000.00 at 232.85714p
Day's Volume: 1,485,379
Last Close: 232.50p
Open: 231.50p
ISIN: GB00BKPG0S09
Day's Range 231.50p - 234.00p
52wk Range: 148.80p - 241.50p
Market Capitalisation: £2.23b
VWAP: 232.76287p
Shares in Issue: 959.20m

Templeton Emerging Markets (TEM) Latest Trades

Buy/Sell Volume Trade Prc Trade Type Trade Time
Buy* 350,000 232.85714p Suspected BUY Trade
16:36:28 - 02-Dec-25
Sell* 235,486 232.50p Uncrossing Trade
16:35:12 - 02-Dec-25
Buy* 8,800 232.8526p Ordinary
16:28:52 - 02-Dec-25
Buy* 3,254 232.8526p Ordinary
16:28:12 - 02-Dec-25
Buy* 40 233.00p Automatic Execution
16:26:11 - 02-Dec-25
Buy* 120 233.00p Automatic Execution
16:26:11 - 02-Dec-25
Buy* 120 233.00p Automatic Execution
16:26:11 - 02-Dec-25
Buy* 80 233.00p Automatic Execution
16:26:11 - 02-Dec-25
Buy* 40 233.00p Automatic Execution
16:26:11 - 02-Dec-25
Buy* 2,200 233.2111p Ordinary
16:24:01 - 02-Dec-25
See more Templeton Emerging Markets trades

Templeton Emerging Markets (TEM) Share Price History

Time period:
to
Date Open High Low Close Volume
2nd Dec 2025 (Tue) 231.50 234.00 231.50 232.50 1,485,379
1st Dec 2025 (Mon) 231.00 232.00 230.00 231.00 1,250,261
28th Nov 2025 (Fri) 233.00 233.00 230.50 232.00 1,111,258
27th Nov 2025 (Thu) 230.50 231.00 230.00 230.50 652,049
26th Nov 2025 (Wed) 229.50 231.50 229.00 231.50 1,795,213
25th Nov 2025 (Tue) 228.00 229.00 226.50 227.00 2,740,805
24th Nov 2025 (Mon) 228.50 228.50 226.50 227.00 3,486,064
21st Nov 2025 (Fri) 227.50 227.50 224.50 225.50 2,778,451
20th Nov 2025 (Thu) 233.00 234.00 231.50 232.00 2,394,166
19th Nov 2025 (Wed) 231.50 231.50 229.50 230.50 2,910,759
18th Nov 2025 (Tue) 233.00 233.00 228.00 231.00 2,530,515
17th Nov 2025 (Mon) 236.00 236.00 232.50 234.00 3,211,748
14th Nov 2025 (Fri) 235.00 235.50 231.00 235.00 4,606,554
13th Nov 2025 (Thu) 239.50 240.00 237.00 237.00 4,004,709
12th Nov 2025 (Wed) 239.00 240.00 238.00 238.50 2,673,119
11th Nov 2025 (Tue) 238.50 238.50 237.00 238.00 4,431,797
10th Nov 2025 (Mon) 236.00 238.00 236.00 237.50 5,913,907
7th Nov 2025 (Fri) 235.50 235.50 231.50 232.50 4,101,514
6th Nov 2025 (Thu) 239.50 239.50 235.00 236.50 3,746,732
5th Nov 2025 (Wed) 238.50 238.50 236.00 237.50 3,570,397
4th Nov 2025 (Tue) 239.50 239.50 236.50 238.00 3,247,838
3rd Nov 2025 (Mon) 240.50 241.50 239.50 240.00 2,166,752
See more Templeton Emerging Markets price history

Templeton Emerging Markets (TEM) Regulatory News

Date Source Headline
1st Dec 2025 11:46 am RNS Total Voting Rights
1st Dec 2025 9:53 am RNS Net Asset Value(s)
28th Nov 2025 10:11 am RNS Net Asset Value(s)
27th Nov 2025 10:21 am RNS Net Asset Value(s)
26th Nov 2025 4:53 pm RNS Transaction in Own Shares
26th Nov 2025 10:22 am RNS Net Asset Value(s)
25th Nov 2025 4:55 pm RNS Transaction in Own Shares
25th Nov 2025 9:08 am RNS Net Asset Value(s)
24th Nov 2025 10:43 am RNS Net Asset Value(s)
21st Nov 2025 10:12 am RNS Net Asset Value(s)
See more Templeton Emerging Markets regulatory news

Templeton Emerging Markets (TEM) Share News

UK dividends calendar - next 7 days

19th Sep 2025 14:06

Read More

IN BRIEF: Scottish American adds Templeton Emerging chair to board

26th Aug 2025 11:56

Scottish American Investment Co PLC - investment trust focused on global equities - Appoints Templeton Emerging Markets Investment Trust PLC Chair Angus Macpherson as a non-executive director, with effect from Monday next week. Notes Macpherson's over 35 years of investment experience, with him having served on a number of investment trust boards since 2010. Says the appointment will be ratified at Scottish American's annual general meeting in April next year, with the trust intending for him to become chair of the board following this. Read More

UK dividends calendar - next 7 days

24th Jul 2025 13:48

Read More

UK dividends calendar - next 7 days

19th Jun 2025 14:13

Read More

IN BRIEF: Templeton Emerging Markets IT annual NAV up 6.1%

6th Jun 2025 20:14

Templeton Emerging Markets Investment Trust PLC - investment trust - net asset value per share rises 6.1% to 193.7 pence in the year to March 31 from 182.5p a year prior. Declares dividend of 5.25p per share, up from 5.00p a year ago. Explains NAV total return over the 12 months to March 31 was 8.8%, while the share price total return was 13.3%. By contrast, the benchmark's total return was 5.8%. Finds the persistence and scale of the discount that the company's shares trade to their underlying NAV "unsatisfactory." Believes that there are three important factors which can narrow the discount: renewed investor enthusiasm for emerging market equities; a company structure with investment performance that makes it attractive relative to other investment vehicles; and an enhanced profile through marketing that increases awareness amongst new investors. Company does not believe share buybacks narrow discounts other than in the short term; "their more measurable impact is to improve liquidity and to enhance earnings per share." But seeks authority to buyback just under 15% of share capital and intends to repurchase GBP100 million to GBP200 million of shares over the next 12 to 24 months. Read More

See more Templeton Emerging Markets news
FTSE 100 Latest
Value9,701.80
Change-0.73

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