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NAV HISTORY

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Franklin India Debt Hybrid Fund - Plan A


Fund : Franklin Templeton Mutual Fund
Category : Debt - Hybrid
Type : Open Ended
NAV(21/04/2025) 89.0448
Percentage Returns :
1 Month Ago : 2.2%
3 Months Ago : 3.11%
1 Year Ago : 9.95%
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NAV DateRepurcahse ()Sale ()Amount ()
21/04/202589.0489.0489.04
17/04/202588.6588.6588.65
16/04/202588.4388.4388.43
15/04/202588.2688.2688.26
11/04/202587.5787.5787.57
09/04/202587.0287.0287.02
08/04/202587.1287.1287.12
07/04/202586.8086.8086.80
04/04/202587.4087.4087.40
03/04/202587.7787.7787.77
02/04/202587.7387.7387.73
01/04/202587.1787.1787.17
31/03/202587.4387.4387.43
28/03/202587.4187.4187.41
27/03/202587.3887.3887.38
26/03/202587.1187.1187.11
25/03/202587.2887.2887.28
24/03/202587.4587.4587.45