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NAVs
 
 As on : March 11, 2010.

width=10 Diversified Equity Funds
width=10 Sector Equity Funds
width=10 Hybrid Funds
width=10 Debt and Liquid Funds
width=10 Capital Protection Oriented Funds
width=10 Fund of Funds
 


  Diversified Equity Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Franklin Build India Fund - Dividend 11.4948 11/3/2010 11.4948 11.3799
Franklin Build India Fund - Growth 11.4948 11/3/2010 11.4948 11.3799
Franklin India Bluechip Fund - Growth 189.4717 11/3/2010 189.4717 187.5770
Franklin India Bluechip Fund - Dividend 37.9281 11/3/2010 37.9281 37.5488
Templeton India Growth Fund - Growth 108.9147 11/3/2010 108.9147 107.8256
Templeton India Growth Fund - Dividend 51.2362 11/3/2010 51.2362 50.7238
Franklin India Prima Plus - Growth 196.3877 11/3/2010 196.3877 194.4238
Franklin India Prima Plus - Dividend 26.3668 11/3/2010 26.3668 26.1031
Franklin India Prima Fund - Growth 249.3281 11/3/2010 249.3281 246.8348
Franklin India Prima Fund - Dividend 46.5113 11/3/2010 46.5113 46.0462
Franklin India Opportunities Fund - Growth 28.8217 11/3/2010 28.8217 28.5335
Franklin India Opportunities Fund - Dividend 13.8487 11/3/2010 13.8487 13.7102
Franklin India Flexi Cap Fund - Growth 28.6624 11/3/2010 28.6624 28.3758
Franklin India Flexi Cap Fund - Dividend 16.4712 11/3/2010 16.4712 16.3065
Templeton India Equity Income Fund - Growth 18.0163 11/3/2010 18.0163 17.8361
Templeton India Equity Income Fund - Dividend 14.6938 11/3/2010 14.6938 14.5469
Franklin India High Growth Companies Fund - Growth 12.0027 11/3/2010 12.0027 11.8827
Franklin India High Growth Companies Fund - Dividend 12.0027 11/3/2010 12.0027 11.8827
Franklin Asian Equity Fund - Dividend   9.9625 11/3/2010   9.9625   9.8629
Franklin Asian Equity Fund - Growth   9.9625 11/3/2010   9.9625   9.8629
Franklin India Taxshield - Growth 182.3213 11/3/2010 182.3213 182.3213
Franklin India Taxshield - Dividend 29.9717 11/3/2010 29.9717 29.9717
Franklin India Index Fund Bse Plan - Growth 48.1234 11/3/2010 48.1234 47.6422
Franklin India Index Fund Bse Plan - Dividend 48.1234 11/3/2010 48.1234 47.6422
Franklin India Index Fund Nifty Plan - Growth 40.2441 11/3/2010 40.2441 39.8417
Franklin India Index Fund Nifty Plan - Dividend 40.2441 11/3/2010 40.2441 39.8417
Franklin India Index Tax Fund 39.2755 11/3/2010 39.2755 39.2755
Franklin India Smaller Companies Fund - Growth 12.9568 11/3/2010 12.9568 12.4385
Franklin India Smaller Companies Fund - Dividend 11.9969 11/3/2010 11.9969 11.5170


  Sector Equity Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Franklin Infotech Fund - Growth 56.2089 11/3/2010 56.2089 55.6468
Franklin Infotech Fund - Dividend 19.1288 11/3/2010 19.1288 18.9375
Franklin Fmcg Fund - Growth 52.9221 11/3/2010 52.9221 52.3929
Franklin Fmcg Fund - Dividend 33.2162 11/3/2010 33.2162 32.8840
Franklin Pharma Fund - Growth 51.3702 11/3/2010 51.3702 50.8565
Franklin Pharma Fund - Dividend 27.1849 11/3/2010 27.1849 26.9131


  Hybrid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Children'S Asset Plan - Education Plan 30.6244 11/3/2010 30.6244 30.6244
Templeton India Children'S Asset Plan - Gift Growth 40.7190 11/3/2010 40.7190 40.7190
Templeton India Children'S Asset Plan - Gift Dividend 40.7190 11/3/2010 40.7190 40.7190
Ft India Balanced Fund - Growth 44.6760 11/3/2010 44.6760 44.2292
Ft India Balanced Fund - Dividend 22.2010 11/3/2010 22.2010 21.9790
Templeton India Pension Plan - Growth 54.2585 11/3/2010 54.2585 54.2585
Templeton India Pension Plan - Dividend 14.7814 11/3/2010 14.7814 14.7814


  Debt and Liquid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Income Fund - Growth 31.8468 11/3/2010 31.8468 31.6876
Templeton India Income Fund - Dividend 10.5967 11/3/2010 10.5967 10.5437
Templeton India Income Opportunities Fund - Growth 10.2344 11/3/2010 10.2344   9.9274
Templeton India Income Opportunities Fund - Dividend 10.2344 11/3/2010 10.2344   9.9274
Templeton India Income Builder Account Plan A - Growth 30.3807 11/3/2010 30.3807 30.2288
Templeton India Income Builder Account Plan A - Annual Dividend 10.7677 11/3/2010 10.7677 10.7139
Templeton India Income Builder Account Plan B - Growth 30.3807 11/3/2010 30.3807 30.2288
Templeton India Income Builder Account Plan B - Annual Dividend 10.7677 11/3/2010 10.7677 10.7139
Templeton India Income Builder Account Plan A - Monthly Dividend 11.4636 11/3/2010 11.4636 11.4063
Templeton India Income Builder Account Plan A - Quarterly Dividend 12.3821 11/3/2010 12.3821 12.3202
Templeton India Income Builder Account Plan A - Half Yearly Dividend 12.4970 11/3/2010 12.4970 12.4345
Templeton India Income Builder Account Plan B - Monthly Dividend 11.4636 11/3/2010 11.4636 11.4063
Templeton India Income Builder Account Plan B - Quarterly Dividend 12.3821 11/3/2010 12.3821 12.3202
Templeton India Income Builder Account Plan B - Half Yearly Dividend 12.4970 11/3/2010 12.4970 12.4345
Templeton India Iba Growthplan A Bonus 1 - Bonus 16.6961 11/3/2010 16.6961 16.6126
Templeton India Iba Growthplan A Bonus 2 - Bonus 16.6961 11/3/2010 16.6961 16.6126
Templeton India Iba Growthplan B Bonus 1 - Bonus 16.6961 11/3/2010 16.6961 16.6126
Templeton India Iba Growthplan B Bonus 2 - Bonus 16.6961 11/3/2010 16.6961 16.6126
Templeton Monthly Income Plan - Monthly Dividend 10.2018 11/3/2010 10.2018 10.1508
Templeton Monthly Income Plan - Growth 25.4182 11/3/2010 25.4182 25.2911
Templeton Monthly Income Plan - Half Yearly Dividend 12.2788 11/3/2010 12.2788 12.2174
Templeton Monthly Income Plan - Quarterly Dividend 10.6034 11/3/2010 10.6034 10.5504
Ft India Monthly Income Plan B - Growth 26.4757 11/3/2010 26.4757 26.2109
Ft India Monthly Income Plan B - Monthly Dividend 11.4793 11/3/2010 11.4793 11.3645
Ft India Monthly Income Plan B - Quarterly Dividend 11.7363 11/3/2010 11.7363 11.6189
Ft India Monthly Income Plan A - Growth 26.4757 11/3/2010 26.4757 26.2109
Ft India Monthly Income Plan A - Monthly Dividend 11.4793 11/3/2010 11.4793 11.3645
Ft India Monthly Income Plan A - Quarterly Dividend 11.7363 11/3/2010 11.7363 11.6189
Ft India Monthly Income Plan A Bonus 1 - Bonus 12.1751 11/3/2010 12.1751 12.0533
Ft India Monthly Income Plan A Bonus 2 - Bonus 12.1751 11/3/2010 12.1751 12.0533
Ft India Monthly Income Plan B Bonus 1 - Bonus 12.1751 11/3/2010 12.1751 12.0533
Ft India Monthly Income Plan B Bonus 2 - Bonus 12.1751 11/3/2010 12.1751 12.0533
Templeton India Government Securities Fund - Composite Plan - Dividend 10.4336 11/3/2010 10.4336 10.3814
Templeton India Government Securities Fund - Composite Plan - Growth 32.5411 11/3/2010 32.5411 32.3784
Templeton India Government Securities Fund Pf Plan - Dividend 14.2929 11/3/2010 14.2929 14.2214
Templeton India Government Securities Fund Pf Plan - Growth 14.2929 11/3/2010 14.2929 14.2214
Templeton India Government Securities Fund Treasury Plan - Growth 16.3121 11/3/2010 16.3121 16.3121
Templeton India Government Securities Fund Treasury Plan - Dividend 10.3126 11/3/2010 10.3126 10.3126
Templeton India Government Securities Fund - Long Term Plan - Growth 22.7438 11/3/2010 22.7438 22.7438
Templeton India Government Securities Fund - Long Term Plan - Dividend 10.5774 11/3/2010 10.5774 10.5774
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Growth 16.8023 11/3/2010 16.8023 16.7603
Templeton India Government Securities Fund Long Term Plan Bonus 1 - Bonus 11.0488 11/3/2010 11.0488 11.0488
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Dividend 10.7890 11/3/2010 10.7890 10.7620
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Dividend 10.3413 11/3/2010 10.3413 10.3154
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Growth 13.9345 11/3/2010 13.9345 13.8997
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Daily Dividend 10.0100 11/3/2010 10.0100   9.9850
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Growth 12.5718 11/3/2010 12.5718 12.5404
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Growth 16.6139 11/3/2010 16.6139 16.6139
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Dividend 10.0529 11/3/2010 10.0529 10.0529
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Dividend 10.1546 11/3/2010 10.1546 10.1546
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Growth 13.7261 11/3/2010 13.7261 13.7261
Templeton India Short Term Income Plan Growth - Growth 1837.7511 11/3/2010 1837.7511 1828.5623
Templeton India Short Term Income Plan Weekly Dividend - Weekly Dividend 1074.3634 11/3/2010 1074.3634 1068.9916
Templeton India Short Term Income Plan Growth Bonus 1 - Bonus 1094.8303 11/3/2010 1094.8303 1089.3561
Templeton India Short Term Income Plan Monthly Dividend - Monthly Dividend 1116.4071 11/3/2010 1116.4071 1110.8251
Templeton India Short Term Income Plan Quarterly Dividend - Quarterly Dividend 1082.4522 11/3/2010 1082.4522 1077.0399
Templeton India Short Term Income Plan Institutional - Monthly Dividend 1149.2671 11/3/2010 1149.2671 1143.5208
Templeton India Short Term Income Plan Institutional - Weekly Dividend 1011.3449 11/3/2010 1011.3449 1006.2882
Templeton India Short Term Income Plan Institutional - Growth 1473.8379 11/3/2010 1473.8379 1466.4687
Franklin India International Fund - Growth 11.8347 10/3/2010 11.8347 11.7755
Franklin Templeton Fixed Tenure Fund Series I 60 Month Plan - Dividend 12.5723 11/3/2010 12.5723 12.0694
Franklin Templeton Fixed Tenure Fund Series I 60 Month Plan - Growth 17.5356 11/3/2010 17.5356 16.8342
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Dividend 13.7849 11/3/2010 13.7849 13.2335
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Growth 16.6300 11/3/2010 16.6300 15.9648
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Dividend 11.8094 11/3/2010 11.8094 11.3370
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Growth 14.2786 11/3/2010 14.2786 13.7075
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Dividend 11.9748 11/3/2010 11.9748 11.4958
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Growth 13.9403 11/3/2010 13.9403 13.3827
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Dividend 11.7136 11/3/2010 11.7136 11.2451
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Growth 12.9163 11/3/2010 12.9163 12.3996
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Dividend 11.0676 11/3/2010 11.0676 10.7909
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Growth 11.3787 11/3/2010 11.3787 11.0942
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Dividend 11.4734 11/3/2010 11.4734 11.1292
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Growth 11.6855 11/3/2010 11.6855 11.3349
Franklin Templeton Fixed Tenure Fund Series X Plan A - Dividend 11.2970 11/3/2010 11.2970 11.0146
Franklin Templeton Fixed Tenure Fund Series X Plan A - Growth 11.8162 11/3/2010 11.8162 11.5208
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Dividend 11.3345 11/3/2010 11.3345 11.0511
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Growth 11.8487 11/3/2010 11.8487 11.5525
Franklin Templeton Fixed Tenure Fund Series X Plan C - Dividend 11.8480 11/3/2010 11.8480 11.4926
Franklin Templeton Fixed Tenure Fund Series X Plan C - Growth 12.1661 11/3/2010 12.1661 11.8011
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Dividend 12.0542 11/3/2010 12.0542 11.6926
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Growth 12.3692 11/3/2010 12.3692 11.9981
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Growth 10.3033 11/3/2010 10.3033 10.3033
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Dividend 10.3033 11/3/2010 10.3033 10.3033
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Growth 10.1362 11/3/2010 10.1362 10.1362
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Dividend 10.1362 11/3/2010 10.1362 10.1362
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Growth 10.0360 11/3/2010 10.0360 10.0360
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Dividend 10.0360 11/3/2010 10.0360 10.0360
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Annual Dividend 12.0706 11/3/2010 12.0706 11.7085
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Growth 12.3634 11/3/2010 12.3634 11.9925
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Annual Dividend 12.1070 11/3/2010 12.1070 11.7438
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Growth 12.4000 11/3/2010 12.4000 12.0280
Templeton Fixed Horizon Fund Series I X - Plan E - Dividend 10.0000 22/2/2010 10.0000   9.7000
Templeton Fixed Horizon Fund Series I X - Plan E - Growth 11.6672 22/2/2010 11.6672 11.3172
Templeton Fixed Horizon Fund Series X I - Plan G - Dividend 11.7246 11/3/2010 11.7246 11.3729
Templeton Fixed Horizon Fund Series X I - Plan G - Growth 11.7246 11/3/2010 11.7246 11.3729
Templeton Fixed Horizon Fund Series X I - Plan H - Dividend 11.6734 11/3/2010 11.6734 11.3232
Templeton Fixed Horizon Fund Series X I - Plan H - Growth 11.6734 11/3/2010 11.6734 11.3232
Templeton India Treasury Management Account Liquid Plan - Growth 1381.1850 11/3/2010 1381.1850 1381.1850
Templeton India Treasury Management Account Liquid Plan - Daily Dividend 1000.6730 11/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Liquid Plan - Weekly Dividend 1000.8980 11/3/2010 1000.8980 1000.8980
Templeton India Treasury Management Account Regular Plan - Growth 2262.2885 11/3/2010 2262.2885 2262.2885
Templeton India Treasury Management Account Regular Plan - Weekly Dividend 1244.7596 11/3/2010 1244.7596 1244.7596
Templeton India Treasury Management Account Regular Plan - Daily Dividend 1512.3400 11/3/2010 1512.3400 1512.3400
Templeton India Treasury Management Account Institutional Plan - Growth 1434.0006 11/3/2010 1434.0006 1434.0006
Templeton India Treasury Management Account Institutional Plan - Weekly Dividend 1055.1169 11/3/2010 1055.1169 1055.1169
Templeton India Treasury Management Account Institutional Plan - Daily Dividend 1000.6730 11/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Growth 1363.9410 11/3/2010 1363.9410 1363.9410
Templeton India Treasury Management Account Super Institutional Plan - Daily Dividend 1000.6730 11/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Weekly Dividend 1021.5435 11/3/2010 1021.5435 1021.5435
Templeton India Ultra Short Bond Fund Retail Plan - Growth 11.7083 11/3/2010 11.7083 11.6790
Templeton India Ultra Short Bond Fund Retail Plan - Daily Dividend 10.0106 11/3/2010 10.0106   9.9856
Templeton India Ultra Short Bond Fund Retail Plan - Weekly Dividend 10.0069 11/3/2010 10.0069   9.9819
Templeton India Ultra Short Bond Fund Institutional Plan - Growth 11.7608 11/3/2010 11.7608 11.7314
Templeton India Ultra Short Bond Fund Institutional Plan - Daily Dividend 10.0111 11/3/2010 10.0111   9.9861
Templeton India Ultra Short Bond Fund Institutional Plan - Weekly Dividend 10.1969 11/3/2010 10.1969 10.1714
Templeton India Ultra Short Bond Fund Super Institutional Plan - Growth 11.8133 11/3/2010 11.8133 11.7838
Templeton India Ultra Short Bond Fund Super Institutional Plan - Daily Dividend 10.0116 11/3/2010 10.0116   9.9866
Templeton India Ultra Short Bond Fund Super Institutional Plan - Weekly Dividend 10.0990 11/3/2010 10.0990 10.0738
Templeton India Cash Management Account - Dividend 10.0000 11/3/2010 10.0000 10.0000
Templeton India Cash Management Account - Growth 15.8832 11/3/2010 15.8832 15.8832
Templeton India Money Market Account - Regular Account Bonus   1.0000 11/3/2010   1.0000   1.0000
Templeton India Money Market Account - Regular Account Dividend   1.0000 11/3/2010   1.0000   1.0000


  Capital Protection Oriented Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Franklin Templeton Capital Safety Fund - 5 Years Plan - Growth 12.7902 11/3/2010 12.7902 12.7902
Franklin Templeton Capital Safety Fund - 5 Years Plan - Annual Dividend 12.2285 11/3/2010 12.2285 12.2285
Franklin Templeton Capital Protection Oriented Fund - 3 Years Plan - Growth 12.4372 11/3/2010 12.4372 12.4372
Franklin Templeton Capital Protection Oriented Fund - 3 Years Plan - Annual Dividend 12.1593 11/3/2010 12.1593 12.1593
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Growth 12.8539 11/3/2010 12.8539 12.8539
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Annual Dividend 12.4012 11/3/2010 12.4012 12.4012


  Fund of Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Ft India Dynamic Pe Ratio Fund Of Funds - Dividend 33.7525 11/3/2010 33.7525 33.4150
Ft India Dynamic Pe Ratio Fund Of Funds - Growth 36.8700 11/3/2010 36.8700 36.5013
Ft India Life Stage Fund Of Funds - The 50s Plus - Dividend 12.3069 11/3/2010 12.3069 12.1838
Ft India Life Stage Fund Of Funds - The 50s Plus - Growth 17.4644 11/3/2010 17.4644 17.2898
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Dividend 12.8665 11/3/2010 12.8665 12.7378
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Growth 18.1739 11/3/2010 18.1739 17.9922
Ft India Life Stage Fund Of Funds - The 20s Plan - Dividend 33.1189 11/3/2010 33.1189 32.7877
Ft India Life Stage Fund Of Funds - The 20s Plan - Growth 33.1189 11/3/2010 33.1189 32.7877
Ft India Life Stage Fund Of Funds - The 30s Plan - Dividend 25.4081 11/3/2010 25.4081 25.2175
Ft India Life Stage Fund Of Funds - The 30s Plan - Growth 25.4081 11/3/2010 25.4081 25.2175
Ft India Life Stage Fund Of Funds - The 40s Plan - Dividend 15.9308 11/3/2010 15.9308 15.8113
Ft India Life Stage Fund Of Funds - The 40s Plan - Growth 21.3384 11/3/2010 21.3384 21.1784




Disclaimer:
The actual Sales and Repurchase price to a unitholder may vary based on the date of investment, amount invested, type of investment (lumpsum, systematic investment) etc. In case of any queries on the same, please contact any of our Investor Service Centers, email us at service@templeton.com or call us at 1 800 425 4255 (60004255 if calling from non MTNL / BSNL lines or mobile phones by prefixing the local city code) from 8 a.m to 9 p.m, Monday to Saturday.



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