Franklin India Multi Asset Allocation Fund Growth

Franklin India Multi Asset Allocation Fund Growth

Hybrid
Multi Asset Allocation
Very High Risk
1M
All
NAV: 09 Jan '26
₹10.88
Min. SIP amount
Not Supported
Fund size
₹2,313.57 Cr
Expense ratio
1.89%

Holdings (54)

NameSectorInstrumentsAssets
Nippon India Silver ETF - GrowthNAMutual Fund7.53%
Nippon India ETF Gold BeESNAMutual Fund6.90%
HDFC Bank Ltd.FinancialEquity4.75%
ICICI Bank Ltd.FinancialEquity3.64%
Reliance Industries Ltd.EnergyEquity3.35%
Larsen & Toubro Ltd.ConstructionEquity2.91%
Mahindra & Mahindra Ltd.AutomobileEquity2.90%
Bharti Airtel Ltd.CommunicationEquity2.79%
Poonawalla Fincorp Ltd.FinancialDebenture2.40%
HCL Technologies Ltd.TechnologyEquity2.37%
LIC Housing Finance Ltd.FinancialNCD2.30%
Infosys Ltd.TechnologyEquity2.20%
Embassy Office Parks REITConstructionDebenture2.20%
Bharti Telecom Ltd.CommunicationDebenture2.18%
Interglobe Aviation Ltd.ServicesEquity2.08%
Hindustan Unilever Ltd.Consumer StaplesEquity1.97%
Sun Pharmaceutical Industries Ltd.HealthcareEquity1.95%
Eternal Ltd.ServicesEquity1.91%
Ultratech Cement Ltd.ConstructionEquity1.91%
Marico Ltd.Consumer StaplesEquity1.89%
Apollo Hospitals Enterprise Ltd.HealthcareEquity1.88%
Britannia Industries Ltd.Consumer StaplesEquity1.84%
Titan Company Ltd.Consumer DiscretionaryEquity1.82%
Tata Power Company Ltd.EnergyEquity1.74%
GAIL (India) Ltd.EnergyEquity1.71%
Bajaj Finance Ltd.FinancialDebenture1.64%
GOISovereignGOI Sec1.53%
State Bank of IndiaFinancialEquity1.50%
Cipla Ltd.HealthcareEquity1.44%
Oil And Natural Gas Corporation Ltd.EnergyEquity1.38%
Trent Ltd.ServicesEquity1.37%
Tata Steel Ltd.Metals & MiningEquity1.33%
Axis Bank Ltd.FinancialEquity1.30%
Ashok Leyland Ltd.AutomobileEquity1.28%
CESC Ltd.EnergyEquity1.25%
PB Fintech Ltd.ServicesEquity1.17%
LIC Housing Finance Ltd.FinancialBonds/NCD1.14%
Hindustan Aeronautics Ltd.Capital GoodsEquity1.11%
Data Patterns (India) Ltd.Capital GoodsEquity1.10%
Reserve Bank of IndiaFinancialT-Bills1.07%
Knowledge Realty TrustConstructionREITs1.07%
PG Electroplast Ltd.Capital GoodsEquity1.02%
Eris Lifesciences Ltd.HealthcareEquity1.02%
Medplus Health Services Ltd.HealthcareEquity1.02%
ZF Commercial Vehicle Control Systems India Ltd.AutomobileEquity1.01%
Syngene International Ltd.HealthcareEquity1.00%
Chalet Hotels Ltd.ServicesEquity0.95%
PI Industries Ltd.ChemicalsEquity0.94%
Crompton Greaves Consumer Electricals Ltd.Consumer DiscretionaryEquity0.87%
Ashok Leyland Ltd.AutomobileFutures0.52%
Ultratech Cement Ltd.ConstructionFutures-0.00%
Oil And Natural Gas Corporation Ltd.EnergyFutures-0.00%
Bharti Airtel Ltd.CommunicationFutures-0.00%
Sun Pharmaceutical Industries Ltd.HealthcareFutures-0.00%
See All

Minimum investments

Min. for 1st investment
Not Supported
Min. for 2nd investment
Not Supported
Min. for SIP
Not Supported

Returns and rankings

Annualised returns
Absolute returns
Name3M3M6MAll
Fund returns+8.1%+8.1%--+10.0%
Category average (Hybrid Multi Asset Allocation)--------
Rank (Hybrid Multi Asset Allocation)88----

Exit load, stamp duty and tax

Exit load

Exit Load for units in excess of 10% of the investment,0.50% will be charged for redemption within 1 year.

Stamp duty on investment: 0.005% (from July 1st, 2020)

from July 1st 2020

Tax implication

Returns are taxed at 20%, if you redeem before one year. After 1 year, you are required to pay LTCG tax of 12.5% on returns of Rs 1.25 lakh+ in a financial year.
Check past data

Compare similar funds

Fund management

RJ
R Janakiraman
Jul 2025 - Present
View details

Education
Mr. Janakiraman is a B.E and PGDM (Business Management).
Experience
Prior to joining Franklin Templeton Investments, he has worked with Indian Syntans Inv. Pvt. Ltd., Citicorp Information Tech Ltd. and UTI Securities Exchange Ltd.

RM
Rohan Maru
Jul 2025 - Present
View details

About Franklin India Multi Asset Allocation Fund Growth

Franklin India Multi Asset Allocation Fund Growth is a Hybrid Mutual Fund Scheme launched by Franklin Templeton Mutual Fund. This scheme was made available to investors on 19 Feb 1996. Pallab Roy is the Current Fund Manager of Franklin India Multi Asset Allocation Fund Growth fund. The fund currently has an Asset Under Management(AUM) of ₹1,27,078 Cr and the Latest NAV as of 09 Jan 2026 is ₹10.88. The Franklin India Multi Asset Allocation Fund Growth is rated Very High risk. Minimum SIP Investment is set to ₹500. Exit Load for units in excess of 10% of the investment,0.50% will be charged for redemption within 1 year. ;

Investment Objective

The scheme seeks to generate long term capital appreciation by investing in equity and equity related instruments, debt & money market instruments and commodities.

Fund house

Rank (total assets)#11 in India
Total AUM₹1,27,077.84 Cr
Date of Incorporation19 Feb 1996
Phone1800-425-4255 / 60004255
E-mailNA
Launch Date19 Feb 1996
AddressUnit No.202/203/204, 2nd Floor Dalamal Tower, Plot No. 211Free Press Journal Marg, Nariman Point Mumbai 400013
CustodianNA
Registrar & Transfer AgentCams
Address7th Floor, Tower II, Rayala Towers, 158, Anna Salai,