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NAV HISTORY

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Franklin India Government Securities Fund


Fund : Franklin Templeton Mutual Fund
Category : Gilt Fund
Type : Open Ended
NAV(13/06/2025) 10.8686
Percentage Returns :
1 Month Ago : -0.86%
3 Months Ago : 0.82%
1 Year Ago : 3.67%
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NAV DateRepurcahse ()Sale ()Amount ()
13/06/202510.8710.8710.87
12/06/202510.8710.8710.87
11/06/202510.8810.8810.88
10/06/202510.9010.9010.90
09/06/202510.9210.9210.92
06/06/202510.9410.9410.94
05/06/202510.9910.9910.99
04/06/202510.9910.9910.99
03/06/202511.0011.0011.00
02/06/202511.0111.0111.01
30/05/202511.0011.0011.00
29/05/202511.0111.0111.01
28/05/202511.0211.0211.02
27/05/202511.0211.0211.02
26/05/202511.0111.0111.01
23/05/202511.0211.0211.02
22/05/202511.0011.0011.00
21/05/202511.0211.0211.02
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