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NAV HISTORY

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Franklin India Conservative Hybrid Fund - Plan B - Monthly Dividend


Fund : Franklin Templeton Mutual Fund
Category : Debt - Hybrid
Type : Open Ended
NAV(26/08/2025) 13.1147
Percentage Returns :
1 Month Ago : -1.5%
3 Months Ago : -1.97%
1 Year Ago : -2.76%
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NAV DateRepurcahse ()Sale ()Amount ()
26/08/202513.1113.1113.11
25/08/202513.1713.1713.17
22/08/202513.2713.2713.27
21/08/202513.2913.2913.29
20/08/202513.2913.2913.29
19/08/202513.2713.2713.27
18/08/202513.2613.2613.26
14/08/202513.2413.2413.24
13/08/202513.2213.2213.22
12/08/202513.2013.2013.20
11/08/202513.2313.2313.23
08/08/202513.2113.2113.21
07/08/202513.2413.2413.24
06/08/202513.2313.2313.23
05/08/202513.2813.2813.28
04/08/202513.3013.3013.30
01/08/202513.2713.2713.27
31/07/202513.3113.3113.31
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