Online-Trading Portfolio-Tracker Research Back-Office MF-Tracker
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Search Scheme 
Fund : Franklin Templeton Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(27/11/2025) 102.4525
Percentage Returns :
1 Month Ago : 0.65%
3 Months Ago : 1.99%
1 Year Ago : 9.29%
Choose Option :  
2025
Open :   94.34
Close :   102.45
Return(%) :   8.60
Month NAV Return
Open (Rs.) Close (Rs.) Percentage
January94.336694.63110.31
February94.842595.15840.33
March95.256396.18920.97
April96.566298.58152.08
May98.595799.70981.12
June99.766199.98650.22
July100.0572100.60810.55
August100.6534100.5880-0.06
September100.5987101.26520.66
October101.3227101.88520.55
November102.0388102.45250.40
January94.336694.63110.31
February94.842595.15840.33
March95.256396.18920.97
April96.566298.58152.08
May98.595799.70981.12
June99.766199.98650.22
July100.0572100.60810.55
August100.6534100.5880-0.06
September100.5987101.26520.66
October101.3227101.88520.55
November102.0388102.45250.40
January94.336694.63110.31
February94.842595.15840.33
March95.256396.18920.97
April96.566298.58152.08
May98.595799.70981.12
June99.766199.98650.22
July100.0572100.60810.55
August100.6534100.5880-0.06
September100.5987101.26520.66
October101.3227101.88520.55
November102.0388102.45250.40
January94.336694.63110.31
February94.842595.15840.33
March95.256396.18920.97
April96.566298.58152.08
May98.595799.70981.12
June99.766199.98650.22
July100.0572100.60810.55
August100.6534100.5880-0.06
September100.5987101.26520.66
October101.3227101.88520.55
November102.0388102.45250.40
January94.336694.63110.31
February94.842595.15840.33
March95.256396.18920.97
April96.566298.58152.08
May98.595799.70981.12
June99.766199.98650.22
July100.0572100.60810.55
August100.6534100.5880-0.06
September100.5987101.26520.66
October101.3227101.88520.55
November102.0388102.45250.40