NAVs
 
 As on : September 08, 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 - Growth 13.0475 8/9/2010 13.0475 12.9170
Franklin Build India Fund - Dividend 13.0475 8/9/2010 13.0475 12.9170
Franklin India Bluechip Fund - Growth 213.5526 8/9/2010 213.5526 211.4171
Franklin India Bluechip Fund - Dividend 42.7485 8/9/2010 42.7485 42.3210
Templeton India Growth Fund - Growth 125.8585 8/9/2010 125.8585 124.5999
Templeton India Growth Fund - Dividend 59.2070 8/9/2010 59.2070 58.6149
Franklin India Prima Plus - Growth 227.2318 8/9/2010 227.2318 224.9595
Franklin India Prima Plus - Dividend 30.5079 8/9/2010 30.5079 30.2028
Franklin India Prima Fund - Growth 295.8869 8/9/2010 295.8869 292.9280
Franklin India Prima Fund - Dividend 46.1048 8/9/2010 46.1048 45.6438
Franklin India Opportunities Fund - Growth 32.8390 8/9/2010 32.8390 32.5106
Franklin India Opportunities Fund - Dividend 15.7790 8/9/2010 15.7790 15.6212
Franklin India Flexi Cap Fund - Growth 33.6031 8/9/2010 33.6031 33.2671
Franklin India Flexi Cap Fund - Dividend 17.0177 8/9/2010 17.0177 16.8475
Templeton India Equity Income Fund - Growth 20.6783 8/9/2010 20.6783 20.4715
Templeton India Equity Income Fund - Dividend 16.0586 8/9/2010 16.0586 15.8980
Franklin India High Growth Companies Fund - Growth 13.7179 8/9/2010 13.7179 13.5807
Franklin India High Growth Companies Fund - Dividend 13.7179 8/9/2010 13.7179 13.5807
Franklin Asian Equity Fund - Dividend 10.4796 8/9/2010 10.4796 10.3748
Franklin Asian Equity Fund - Growth 10.4796 8/9/2010 10.4796 10.3748
Franklin India Taxshield - Growth 207.2424 8/9/2010 207.2424 207.2424
Franklin India Taxshield - Dividend 34.0685 8/9/2010 34.0685 34.0685
Franklin India Index Fund Bse Plan - Growth 52.5974 8/9/2010 52.5974 52.0714
Franklin India Index Fund Bse Plan - Dividend 52.5974 8/9/2010 52.5974 52.0714
Franklin India Index Fund Nifty Plan - Growth 44.1831 8/9/2010 44.1831 43.7413
Franklin India Index Fund Nifty Plan - Dividend 44.1831 8/9/2010 44.1831 43.7413
Franklin India Index Tax Fund 42.9972 8/9/2010 42.9972 42.9972
Franklin India Smaller Companies Fund - Growth 15.5587 8/9/2010 15.5587 14.9364
Franklin India Smaller Companies Fund - Dividend 14.4060 8/9/2010 14.4060 13.8298


  Sector Equity Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Franklin Infotech Fund - Growth 59.6138 8/9/2010 59.6138 59.0177
Franklin Infotech Fund - Dividend 20.2876 8/9/2010 20.2876 20.0847
Franklin Fmcg Fund - Growth 67.6113 8/9/2010 67.6113 66.9352
Franklin Fmcg Fund - Dividend 42.4357 8/9/2010 42.4357 42.0113
Franklin Pharma Fund - Growth 58.7988 8/9/2010 58.7988 58.2108
Franklin Pharma Fund - Dividend 31.1161 8/9/2010 31.1161 30.8049


  Hybrid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Children'S Asset Plan - Education Plan 31.6932 8/9/2010 31.6932 31.6932
Templeton India Children'S Asset Plan - Gift Growth 44.1115 8/9/2010 44.1115 44.1115
Templeton India Children'S Asset Plan - Gift Dividend 44.1115 8/9/2010 44.1115 44.1115
Ft India Balanced Fund - Growth 48.7142 8/9/2010 48.7142 48.2271
Ft India Balanced Fund - Dividend 20.9042 8/9/2010 20.9042 20.6952
Templeton India Pension Plan - Growth 57.4147 8/9/2010 57.4147 57.4147
Templeton India Pension Plan - Dividend 15.6412 8/9/2010 15.6412 15.6412


  Debt and Liquid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Income Fund - Growth 32.2078 8/9/2010 32.2078 32.0468
Templeton India Income Fund - Dividend 10.5267 8/9/2010 10.5267 10.4741
Templeton India Income Opportunities Fund - Growth 10.6356 8/9/2010 10.6356 10.3165
Templeton India Income Opportunities Fund - Dividend 10.5499 8/9/2010 10.5499 10.2334
Templeton India Income Builder Account Plan A - Growth 30.9557 8/9/2010 30.9557 30.8009
Templeton India Income Builder Account Plan A - Annual Dividend 10.9715 8/9/2010 10.9715 10.9166
Templeton India Income Builder Account Plan B - Growth 30.9557 8/9/2010 30.9557 30.8009
Templeton India Income Builder Account Plan B - Annual Dividend 10.9715 8/9/2010 10.9715 10.9166
Templeton India Income Builder Account Plan A - Monthly Dividend 11.6805 8/9/2010 11.6805 11.6221
Templeton India Income Builder Account Plan A - Quarterly Dividend 12.0110 8/9/2010 12.0110 11.9509
Templeton India Income Builder Account Plan A - Half Yearly Dividend 11.9223 8/9/2010 11.9223 11.8627
Templeton India Income Builder Account Plan B - Monthly Dividend 11.6805 8/9/2010 11.6805 11.6221
Templeton India Income Builder Account Plan B - Quarterly Dividend 12.0110 8/9/2010 12.0110 11.9509
Templeton India Income Builder Account Plan B - Half Yearly Dividend 11.9223 8/9/2010 11.9223 11.8627
Templeton India Iba Growthplan A Bonus 1 - Bonus 16.0264 8/9/2010 16.0264 15.9463
Templeton India Iba Growthplan A Bonus 2 - Bonus 16.0264 8/9/2010 16.0264 15.9463
Templeton India Iba Growthplan B Bonus 1 - Bonus 16.0264 8/9/2010 16.0264 15.9463
Templeton India Iba Growthplan B Bonus 2 - Bonus 16.0264 8/9/2010 16.0264 15.9463
Templeton India Low Duration Fund - Growth 10.0662 8/9/2010 10.0662 10.0159
Templeton India Low Duration Fund - Monthly Dividend 10.1593 8/9/2010 10.1593 10.1085
Templeton India Low Duration Fund - Quarterly Dividend 10.5905 8/9/2010 10.5905 10.5375
Ft India Monthly Income Plan B - Growth 27.3024 8/9/2010 27.3024 27.0294
Ft India Monthly Income Plan B - Monthly Dividend 11.5735 8/9/2010 11.5735 11.4578
Ft India Monthly Income Plan B - Quarterly Dividend 11.7464 8/9/2010 11.7464 11.6289
Ft India Monthly Income Plan A - Growth 27.3024 8/9/2010 27.3024 27.0294
Ft India Monthly Income Plan A - Monthly Dividend 11.5735 8/9/2010 11.5735 11.4578
Ft India Monthly Income Plan A - Quarterly Dividend 11.7464 8/9/2010 11.7464 11.6289
Ft India Monthly Income Plan A Bonus 1 - Bonus 11.9692 8/9/2010 11.9692 11.8495
Ft India Monthly Income Plan A Bonus 2 - Bonus 11.9692 8/9/2010 11.9692 11.8495
Ft India Monthly Income Plan B Bonus 1 - Bonus 11.9692 8/9/2010 11.9692 11.8495
Ft India Monthly Income Plan B Bonus 2 - Bonus 11.9692 8/9/2010 11.9692 11.8495
Templeton India Government Securities Fund - Composite Plan - Dividend 10.2488 8/9/2010 10.2488 10.1976
Templeton India Government Securities Fund - Composite Plan - Growth 32.5862 8/9/2010 32.5862 32.4233
Templeton India Government Securities Fund Pf Plan - Dividend 14.3127 8/9/2010 14.3127 14.2411
Templeton India Government Securities Fund Pf Plan - Growth 14.3127 8/9/2010 14.3127 14.2411
Templeton India Government Securities Fund Treasury Plan - Growth 16.5115 8/9/2010 16.5115 16.5115
Templeton India Government Securities Fund Treasury Plan - Dividend 10.4085 8/9/2010 10.4085 10.4085
Templeton India Government Securities Fund - Long Term Plan - Growth 22.7788 8/9/2010 22.7788 22.7788
Templeton India Government Securities Fund - Long Term Plan - Dividend 10.3249 8/9/2010 10.3249 10.3249
Templeton India Government Securities Fund Long Term Plan Bonus 1 - Bonus 10.4979 8/9/2010 10.4979 10.4979
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Growth 17.2220 8/9/2010 17.2220 17.1789
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Dividend 10.8448 8/9/2010 10.8448 10.8177
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Dividend 10.3417 8/9/2010 10.3417 10.3158
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Growth 14.3002 8/9/2010 14.3002 14.2644
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Daily Dividend 10.0186 8/9/2010 10.0186   9.9936
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Growth 12.9273 8/9/2010 12.9273 12.8950
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Growth 16.9775 8/9/2010 16.9775 16.9775
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Dividend 10.0575 8/9/2010 10.0575 10.0575
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Dividend 10.1549 8/9/2010 10.1549 10.1549
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Growth 14.0472 8/9/2010 14.0472 14.0472
Templeton India Short Term Income Plan Growth - Growth 1892.8317 8/9/2010 1892.8317 1883.3675
Templeton India Short Term Income Plan Weekly Dividend - Weekly Dividend 1076.3060 8/9/2010 1076.3060 1070.9245
Templeton India Short Term Income Plan Growth Bonus 1 - Bonus 1106.5084 8/9/2010 1106.5084 1100.9759
Templeton India Short Term Income Plan Monthly Dividend - Monthly Dividend 1125.0355 8/9/2010 1125.0355 1119.4103
Templeton India Short Term Income Plan Quarterly Dividend - Quarterly Dividend 1095.6813 8/9/2010 1095.6813 1090.2029
Templeton India Short Term Income Plan Institutional - Monthly Dividend 1158.7726 8/9/2010 1158.7726 1152.9787
Templeton India Short Term Income Plan Institutional - Weekly Dividend 1013.2849 8/9/2010 1013.2849 1008.2185
Templeton India Short Term Income Plan Institutional - Growth 1519.5176 8/9/2010 1519.5176 1511.9200
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Dividend 14.3906 8/9/2010 14.3906 13.8150
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Growth 17.3608 8/9/2010 17.3608 16.6664
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Dividend 11.8425 8/9/2010 11.8425 11.3688
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Growth 14.9514 8/9/2010 14.9514 14.3533
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Dividend 12.5338 8/9/2010 12.5338 12.0324
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Growth 14.5910 8/9/2010 14.5910 14.0074
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Dividend 11.5620 8/9/2010 11.5620 11.0995
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Growth 13.5578 8/9/2010 13.5578 13.0155
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Dividend 11.4679 8/9/2010 11.4679 11.1812
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Growth 11.7902 8/9/2010 11.7902 11.4954
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Dividend 12.0206 8/9/2010 12.0206 11.6600
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Growth 12.2428 8/9/2010 12.2428 11.8755
Franklin Templeton Fixed Tenure Fund Series X Plan A - Dividend 11.6829 8/9/2010 11.6829 11.3908
Franklin Templeton Fixed Tenure Fund Series X Plan A - Growth 12.2198 8/9/2010 12.2198 11.9143
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Dividend 11.6344 8/9/2010 11.6344 11.3435
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Growth 12.1621 8/9/2010 12.1621 11.8580
Franklin Templeton Fixed Tenure Fund Series X Plan C - Dividend 12.4019 8/9/2010 12.4019 12.0298
Franklin Templeton Fixed Tenure Fund Series X Plan C - Growth 12.7349 8/9/2010 12.7349 12.3529
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Dividend 12.5245 8/9/2010 12.5245 12.1488
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Growth 12.8517 8/9/2010 12.8517 12.4661
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Growth 10.6327 8/9/2010 10.6327 10.6327
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Dividend 10.6327 8/9/2010 10.6327 10.6327
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Growth 10.4752 8/9/2010 10.4752 10.4752
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Dividend 10.4752 8/9/2010 10.4752 10.4752
Franklin Templeton Fixed Tenure Fund Series X I I - Plan C - Dividend 10.2899 8/9/2010 10.2899 10.2899
Franklin Templeton Fixed Tenure Fund Series X I I - Plan C - Growth 10.2899 8/9/2010 10.2899 10.2899
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Growth 10.3377 8/9/2010 10.3377 10.3377
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Dividend 10.3377 8/9/2010 10.3377 10.3377
Franklin Templeton Fixed Tenure Fund Series X I V - Plan A - Dividend 10.0630 8/9/2010 10.0630 10.0630
Franklin Templeton Fixed Tenure Fund Series X I V - Plan A - Growth 10.0630 8/9/2010 10.0630 10.0630
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Annual Dividend 10.0000 26/7/2010 10.0000   9.7000
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Growth 12.6191 26/7/2010 12.6191 12.2405
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Annual Dividend 10.0000 26/7/2010 10.0000   9.7000
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Growth 12.6613 26/7/2010 12.6613 12.2815
Templeton India Treasury Management Account Liquid Plan - Growth 1410.2733 8/9/2010 1410.2733 1410.2733
Templeton India Treasury Management Account Liquid Plan - Daily Dividend 1000.6730 8/9/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Liquid Plan - Weekly Dividend 1000.9557 8/9/2010 1000.9557 1000.9557
Templeton India Treasury Management Account Regular Plan - Growth 2312.7988 8/9/2010 2312.7988 2312.7988
Templeton India Treasury Management Account Regular Plan - Weekly Dividend 1244.8230 8/9/2010 1244.8230 1244.8230
Templeton India Treasury Management Account Regular Plan - Daily Dividend 1512.3400 8/9/2010 1512.3400 1512.3400
Templeton India Treasury Management Account Institutional Plan - Growth 1467.8362 8/9/2010 1467.8362 1467.8362
Templeton India Treasury Management Account Institutional Plan - Weekly Dividend 1055.1637 8/9/2010 1055.1637 1055.1637
Templeton India Treasury Management Account Institutional Plan - Daily Dividend 1000.6730 8/9/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Growth 1398.2015 8/9/2010 1398.2015 1398.2015
Templeton India Treasury Management Account Super Institutional Plan - Daily Dividend 1000.6730 8/9/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Weekly Dividend 1021.5802 8/9/2010 1021.5802 1021.5802
Templeton India Ultra Short Bond Fund Retail Plan - Growth 12.0045 8/9/2010 12.0045 12.0045
Templeton India Ultra Short Bond Fund Retail Plan - Daily Dividend 10.0106 8/9/2010 10.0106 10.0106
Templeton India Ultra Short Bond Fund Retail Plan - Weekly Dividend 10.0183 8/9/2010 10.0183 10.0183
Templeton India Ultra Short Bond Fund Institutional Plan - Growth 12.0703 8/9/2010 12.0703 12.0703
Templeton India Ultra Short Bond Fund Institutional Plan - Daily Dividend 10.0111 8/9/2010 10.0111 10.0111
Templeton India Ultra Short Bond Fund Institutional Plan - Weekly Dividend 10.1998 8/9/2010 10.1998 10.1998
Templeton India Ultra Short Bond Fund Super Institutional Plan - Growth 12.1361 8/9/2010 12.1361 12.1361
Templeton India Ultra Short Bond Fund Super Institutional Plan - Daily Dividend 10.0116 8/9/2010 10.0116 10.0116
Templeton India Ultra Short Bond Fund Super Institutional Plan - Weekly Dividend 10.0989 8/9/2010 10.0989 10.0989
Templeton India Cash Management Account - Dividend 10.0000 8/9/2010 10.0000 10.0000
Templeton India Cash Management Account - Growth 16.1379 8/9/2010 16.1379 16.1379
Templeton India Money Market Account - Regular Account Bonus   1.0000 8/9/2010   1.0000   1.0000
Templeton India Money Market Account - Regular Account Dividend   1.0000 8/9/2010   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 13.2911 8/9/2010 13.2911 13.2911
Franklin Templeton Capital Safety Fund - 5 Years Plan - Annual Dividend 11.9919 8/9/2010 11.9919 11.9919
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Growth 13.3295 8/9/2010 13.3295 13.3295
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Annual Dividend 12.1443 8/9/2010 12.1443 12.1443


  Fund of Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Ft India Dynamic Pe Ratio Fund Of Funds - Dividend 35.6831 8/9/2010 35.6831 35.3263
Ft India Dynamic Pe Ratio Fund Of Funds - Growth 38.9789 8/9/2010 38.9789 38.5891
Ft India Life Stage Fund Of Funds - The 50s Plus - Dividend 12.6682 8/9/2010 12.6682 12.5415
Ft India Life Stage Fund Of Funds - The 50s Plus - Growth 18.2842 8/9/2010 18.2842 18.1014
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Dividend 13.1608 8/9/2010 13.1608 13.0292
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Growth 18.9386 8/9/2010 18.9386 18.7492
Ft India Life Stage Fund Of Funds - The 20s Plan - Dividend 36.7796 8/9/2010 36.7796 36.4118
Ft India Life Stage Fund Of Funds - The 20s Plan - Growth 36.7796 8/9/2010 36.7796 36.4118
Ft India Life Stage Fund Of Funds - The 30s Plan - Dividend 27.4273 8/9/2010 27.4273 27.2216
Ft India Life Stage Fund Of Funds - The 30s Plan - Growth 27.4273 8/9/2010 27.4273 27.2216
Ft India Life Stage Fund Of Funds - The 40s Plan - Dividend 17.0496 8/9/2010 17.0496 16.9217
Ft India Life Stage Fund Of Funds - The 40s Plan - Growth 22.8370 8/9/2010 22.8370 22.6657




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 or 60004255 (if calling from a mobile phone, please prefix the city STD code; local call rates apply for both numbers) from 8 a.m to 9 p.m, Monday to Saturday.



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