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Search Scheme 
Fund : Franklin Templeton Mutual Fund
Category : Debt - Hybrid
Type : Open Ended
NAV(30/06/2025) 12.4040
Percentage Returns :
1 Month Ago : -1.13%
3 Months Ago : 2.31%
1 Year Ago : 0.16%
Choose Option :  
2025
Open :   12.35
Close :   12.40
Return(%) :   0.40
Month NAV Return
Open (Rs.) Close (Rs.) Percentage
January12.353712.2676-0.69
February12.278412.0831-1.59
March12.098012.12730.24
April12.090412.37652.36
May12.377812.54581.35
June12.546412.4040-1.13
January12.353712.2676-0.69
February12.278412.0831-1.59
March12.098012.12730.24
April12.090412.37652.36
May12.377812.54581.35
June12.546412.4040-1.13
January12.353712.2676-0.69
February12.278412.0831-1.59
March12.098012.12730.24
April12.090412.37652.36
May12.377812.54581.35
June12.546412.4040-1.13
January12.353712.2676-0.69
February12.278412.0831-1.59
March12.098012.12730.24
April12.090412.37652.36
May12.377812.54581.35
June12.546412.4040-1.13
January12.353712.2676-0.69
February12.278412.0831-1.59
March12.098012.12730.24
April12.090412.37652.36
May12.377812.54581.35
June12.546412.4040-1.13