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Search Scheme 
Fund : Franklin Templeton Mutual Fund
Category : Debt - Floaters
Type : Open Ended
NAV(06/08/2025) 10.1135
Percentage Returns :
1 Month Ago : 0%
3 Months Ago : 0.13%
1 Year Ago : 0.56%
Choose Option :  
2025
Open :   10.06
Close :   10.11
Return(%) :   0.56
Month NAV Return
Open (Rs.) Close (Rs.) Percentage
January10.056710.05670.00
February10.056710.05670.00
March10.056710.07010.13
April10.076810.10010.23
May10.100110.10310.02
June10.103110.11350.10
July10.113510.11350.00
August10.113510.11350.00
January10.056710.05670.00
February10.056710.05670.00
March10.056710.07010.13
April10.076810.10010.23
May10.100110.10310.02
June10.103110.11350.10
July10.113510.11350.00
August10.113510.11350.00
January10.056710.05670.00
February10.056710.05670.00
March10.056710.07010.13
April10.076810.10010.23
May10.100110.10310.02
June10.103110.11350.10
July10.113510.11350.00
August10.113510.11350.00
January10.056710.05670.00
February10.056710.05670.00
March10.056710.07010.13
April10.076810.10010.23
May10.100110.10310.02
June10.103110.11350.10
July10.113510.11350.00
August10.113510.11350.00
January10.056710.05670.00
February10.056710.05670.00
March10.056710.07010.13
April10.076810.10010.23
May10.100110.10310.02
June10.103110.11350.10
July10.113510.11350.00
August10.113510.11350.00