28 Jul 2017 | 9:28 PM

Franklin India Opportunities Fund-Growth

Fund Family : Franklin Templeton Asset Management (India) Pvt. Ltd. | Fund Class: Equity - MultiCap
70.9024
0
(0.12 %)
26 Jul 2017 | 12:00 AM
Change Scheme
  • Asset Size (Rs. cr)
    658.44
  • Volatility (Std div)
    11.64
  • Expense Ratio
    2.62
  • YTD Return
    24.11
  • Turnover Ratio
    208.40
  • Inception Date
    NA
  • Type
    Open Ended
  • 52Wk High - Low Range
    56.50
    70.99
1W | 1M | 3M | 6M | 1YR | MAX

Trailing Returns

Untitled Page
1M(%)3M(%) 6M(%)1Yr(%)
Scheme
5.25
6.21
16.96
17.20
Category
4.80
5.88
17.56
20.86
Sensex
4.16
7.38
15.65
15.07
Nifty
4.89
6.79
15.45
15.79
Investment Information
Min. Investment5000.00
Entry / Exit Load (%)
0.00/1
In respect of each purchase of Units - 1% if the Units are redeemed/switched-out within one year of allotment.

Peer Groups

Schemes Name NAV 1 Yr
15.21 39.59
14.79 37.07
29.49 34.87
138.41 33.07

Top Holdings

Company Name Value
(Rs in Cr)
Hold (%)
49.79 7.92
37.83 6.02
35.15 5.59
32.78 5.22
29.88 4.76

Scheme Porfolio

Equity
95.43%
Debt
0%
Others
4.57%

Whats In And Out

Company Name No of Share Mkt Value
8,26,027 11.25
1,47,359 9.00
39,800 7.47
2,58,466 37.83
7,52,962 21.85

AUM Movement

Asset Size in Rs (Cr.)

AMC Details

AMC Name
Franklin Templeton Asset Management (India) Pvt. Ltd.
Mr. Anand Radhakrishnan Mr. Umesh Sharma Mr. Pallab Roy Mr. Sachin Desai Ms. Roshi Jain Mr. Kunal Agrawal Mr. R Janakiraman Mr. Varun Sharma Mr. Lakshmikanth Reddy
Fund Manager
Registered Office
Indiabulls Finance Centre; Tower 2 12th and 13th Floor; Senapati Bapat Marg Elphinstone Road (W).,
Tel : 67519100
Fax :66490622 / 66490627

Plans

NAV (Rs)
Performance (%)
1M 6M 1Y 3Y
Dividend 21.49 5.25 16.96 7.03 8.05
Growth 70.90 5.25 16.96 17.20 16.85

Dividend History

Dividend date Dividend ( Rs/unit )
No Data Available