Company: TXEMF
Filing Date: 2025-03-03
Form Type: N-CSR
Source: 0001133228-25-001853
Chunk: 17

Company: TEMPLETON EMERGING MARKETS INCOME FUND
Filing Date: 2025-03-03
Form: N-CSR
Chunk 17
---
)

d

.........

11.72%

3.82%

(15.55)%

3.59%

(9.08)%

#### Ratios

#### to

#### average

#### net

#### assets
Expenses

before

waiver

and

payments

by

affiliates

......

2.37%

2.32%

1.40%

1.23%

1.17%

Expenses

net

of

waiver

and

payments

by

affiliates

.......

2.36%

2.30%

1.38%

1.22%

1.14%

Net

investment

income

...........................

10.58%

7.65%

7.11%

6.68%

4.22%

#### Supplemental

#### data
Net

assets,

end

of

year

(000’s)

.....................

$266,959

$278,680

$272,330

$363,759

$428,098

Portfolio

turnover

rate

............................

53.84%

48.95%

35.83%

70.97%

56.68%

Total

credit

facility

outstanding

at

end

of

year

(000’s)

.....

$65,000

$50,000

$36,000

$36,000

$—

Asset

coverage

per

$1,000

of

debt

..................

$5,107

$6,574

$8,565

$11,133

$—

a

Based

on

average

daily

shares

outstanding.

b

Amount

rounds

to

less

than

$0.01

per

share.

c

Based

on

the

last

sale

on

the

New

York

Stock

Exchange.

d

The

Market

Value

Total

Return

is

calculated

assuming

a

purchase

of

common

shares

on

the

opening

of

the

first

### business
day

and

a

sale

on

the

closing

of

the

last

### business
day

of

each

period.

Dividends

and

distributions

are

assumed

for

the

purposes

of

this

calculation

to

be

reinvested

at

prices

obtained

under

the

Fund's

Dividend

Reinvestment

and

Cash