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RatingReturns 1YRisk
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7.38%
Very Low
Min SIP AmountExpense RatioFund Size
500
0.78%
₹ 5586Cr
SIP Calculator - Min ₹500 / Month
per month invested in this mutual fund for the last
would be worth ₹ 6,200 with returns of 7.38% per annum.
Trailing Returns
Sip Returns

Performance

reply_allReturns1Y3Y5YMeanStd DevSharpe
Franklin India Low Duration Fund7.38%8.88% p.a.9.24% p.a.8.56%0.79%2.92
Groww Debt Benchmark6.78%7.32% p.a.8.06% p.a.6.83%0.33%1.76
assessmentComparisonReturn 1YMin SIP InvestmentMin InvestmentFund Size (Cr)Rating
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Pros

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Cons

1. Age is more than 5 years
2. 1Y Returns are higher than the benchmark
3. 3Y Returns are higher than the benchmark
4. 5Y Returns are higher than the benchmark
1. Risk is higher compared to the benchmark

Holding Analysis

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Top 10 Holdings

Sector expand_more
Instrument expand_more
Rating / Size expand_more
Value (Cr) expand_more
% Assetsexpand_more
Cash
Current Assets
Cash
--
243.72
4.21%
9.2 DLF Home Developers Ltd. Nov 21 2019
Construction
Debentures
A(SO)
218.35
3.77%
Renew Power Ventures Pvt. Ltd.
Energy
FRB
A+
196.67
3.39%
12 Reliance Infrastructure Consulting & Engineers Pvt Ltd. Jan 15 2021
Services
Debentures
AA-(SO)
184.44
3.18%
10.1 Future Retail Ltd. Apr 17 2020
Consumer Goods
Debentures
AA-
177.95
3.07%
9.6 Narmada Wind Energy Pvt Ltd. Mar 31 2023
Energy
Debentures
A+(SO)
165.48
2.86%
8.4 Edelweiss Commodities Services Ltd Oct 26 2020
Services
Debentures
AA
153.73
2.65%
Axis Bank Ltd.
Financial Services
CD
A1+
142.98
2.47%
Yes Capital (India) Private Ltd.
Financial Services
ZCB
AA
142.19
2.45%
PNB Housing Finance Ltd. (166D)
Financial Services
CP
A1+
136.48
2.36%
SHOW ALL
contact_mail

Franklin Templeton Mutual Fund

Franklin Templeton Mutual Fund started their mutual fund on 19/02/1996 and its managing total assets of ₹95,716 Cr. Its ranked at 8 as per total assets at end of 30th Sep 2017.
Address:
Indiabulls Finance Centre; Tower 2, 12th and 13th Floor; Senapati Bapat Marg; Elphinstone Road (W) Mumbai 400013
Phone:
022 - 67519100
Launch Date:
19 Feb 1996
Email:
services@franklintempleton.com
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Other Mutual Funds in Debt - Low Duration Category

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Details about Franklin India Low Duration Fund

Plan Type

Regular

Investment Objective

To provide regular income to investors through investment primarily in debt funds.

Tax Implications

Returns are taxed as per your Income Tax slab, if sold before 3 years. Negligible Tax (20% with indexation benefit) post 3 years.

Net Asset Value (NAV)

₹20.0915 (25-May-2018)

Scheme Information Document (SID)

Click here to read all scheme information documents on AMC website

Other plans of Franklin India Low Duration Fund

₹ 10000Min for first investment0.78%Expense Ratio
₹ 1000Min for second investment onwards₹ 500Min SIP amount
Franklin Templeton Mutual Fund

Franklin Templeton Mutual Fund

Asset Management Company
Santosh Kamath, Kunal AgrawalFund ManagerIf redeemed bet. 0 Months to 3 Months; Exit Load is 0.5%;Exit Load