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NAVs
 
 As on : March 19, 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 11.6214 19/3/2010 11.6214 11.5052
Franklin Build India Fund - Growth 11.6214 19/3/2010 11.6214 11.5052
Franklin India Bluechip Fund - Growth 193.1673 19/3/2010 193.1673 191.2356
Franklin India Bluechip Fund - Dividend 38.6678 19/3/2010 38.6678 38.2811
Templeton India Growth Fund - Growth 112.5214 19/3/2010 112.5214 111.3962
Templeton India Growth Fund - Dividend 52.9329 19/3/2010 52.9329 52.4036
Franklin India Prima Plus - Growth 199.9401 19/3/2010 199.9401 197.9407
Franklin India Prima Plus - Dividend 26.8438 19/3/2010 26.8438 26.5754
Franklin India Prima Fund - Growth 254.5119 19/3/2010 254.5119 251.9668
Franklin India Prima Fund - Dividend 47.4783 19/3/2010 47.4783 47.0035
Franklin India Opportunities Fund - Growth 29.3875 19/3/2010 29.3875 29.0936
Franklin India Opportunities Fund - Dividend 14.1206 19/3/2010 14.1206 13.9794
Franklin India Flexi Cap Fund - Growth 29.1816 19/3/2010 29.1816 28.8898
Franklin India Flexi Cap Fund - Dividend 16.7695 19/3/2010 16.7695 16.6018
Templeton India Equity Income Fund - Growth 18.2606 19/3/2010 18.2606 18.0780
Templeton India Equity Income Fund - Dividend 14.1811 19/3/2010 14.1811 14.0393
Franklin India High Growth Companies Fund - Growth 12.2005 19/3/2010 12.2005 12.0785
Franklin India High Growth Companies Fund - Dividend 12.2005 19/3/2010 12.2005 12.0785
Franklin Asian Equity Fund - Dividend 10.0388 19/3/2010 10.0388   9.9384
Franklin Asian Equity Fund - Growth 10.0388 19/3/2010 10.0388   9.9384
Franklin India Taxshield - Growth 185.7777 19/3/2010 185.7777 185.7777
Franklin India Taxshield - Dividend 30.5399 19/3/2010 30.5399 30.5399
Franklin India Index Fund Bse Plan - Growth 49.2829 19/3/2010 49.2829 48.7901
Franklin India Index Fund Bse Plan - Dividend 49.2829 19/3/2010 49.2829 48.7901
Franklin India Index Fund Nifty Plan - Growth 41.2557 19/3/2010 41.2557 40.8431
Franklin India Index Fund Nifty Plan - Dividend 41.2557 19/3/2010 41.2557 40.8431
Franklin India Index Tax Fund 40.2517 19/3/2010 40.2517 40.2517
Franklin India Smaller Companies Fund - Growth 13.1390 19/3/2010 13.1390 12.6134
Franklin India Smaller Companies Fund - Dividend 12.1656 19/3/2010 12.1656 11.6790


  Sector Equity Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Franklin Infotech Fund - Growth 57.9602 19/3/2010 57.9602 57.3806
Franklin Infotech Fund - Dividend 19.7248 19/3/2010 19.7248 19.5276
Franklin Fmcg Fund - Growth 52.7855 19/3/2010 52.7855 52.2576
Franklin Fmcg Fund - Dividend 33.1304 19/3/2010 33.1304 32.7991
Franklin Pharma Fund - Growth 52.7577 19/3/2010 52.7577 52.2301
Franklin Pharma Fund - Dividend 27.9192 19/3/2010 27.9192 27.6400


  Hybrid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Children'S Asset Plan - Education Plan 30.7663 19/3/2010 30.7663 30.7663
Templeton India Children'S Asset Plan - Gift Growth 41.2048 19/3/2010 41.2048 41.2048
Templeton India Children'S Asset Plan - Gift Dividend 41.2048 19/3/2010 41.2048 41.2048
Ft India Balanced Fund - Growth 45.2291 19/3/2010 45.2291 44.7768
Ft India Balanced Fund - Dividend 22.4758 19/3/2010 22.4758 22.2510
Templeton India Pension Plan - Growth 54.6759 19/3/2010 54.6759 54.6759
Templeton India Pension Plan - Dividend 14.8951 19/3/2010 14.8951 14.8951


  Debt and Liquid Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Templeton India Income Fund - Growth 31.9424 19/3/2010 31.9424 31.7827
Templeton India Income Fund - Dividend 10.6286 19/3/2010 10.6286 10.5755
Templeton India Income Opportunities Fund - Growth 10.2896 19/3/2010 10.2896   9.9809
Templeton India Income Opportunities Fund - Dividend 10.2896 19/3/2010 10.2896   9.9809
Templeton India Income Builder Account Plan A - Growth 30.4984 19/3/2010 30.4984 30.3459
Templeton India Income Builder Account Plan A - Annual Dividend 10.8094 19/3/2010 10.8094 10.7554
Templeton India Income Builder Account Plan B - Growth 30.4984 19/3/2010 30.4984 30.3459
Templeton India Income Builder Account Plan B - Annual Dividend 10.8094 19/3/2010 10.8094 10.7554
Templeton India Income Builder Account Plan A - Monthly Dividend 11.5080 19/3/2010 11.5080 11.4505
Templeton India Income Builder Account Plan A - Quarterly Dividend 12.4301 19/3/2010 12.4301 12.3679
Templeton India Income Builder Account Plan A - Half Yearly Dividend 12.5454 19/3/2010 12.5454 12.4827
Templeton India Income Builder Account Plan B - Monthly Dividend 11.5080 19/3/2010 11.5080 11.4505
Templeton India Income Builder Account Plan B - Quarterly Dividend 12.4301 19/3/2010 12.4301 12.3679
Templeton India Income Builder Account Plan B - Half Yearly Dividend 12.5454 19/3/2010 12.5454 12.4827
Templeton India Iba Growthplan A Bonus 1 - Bonus 16.7608 19/3/2010 16.7608 16.6770
Templeton India Iba Growthplan A Bonus 2 - Bonus 16.7608 19/3/2010 16.7608 16.6770
Templeton India Iba Growthplan B Bonus 1 - Bonus 16.7608 19/3/2010 16.7608 16.6770
Templeton India Iba Growthplan B Bonus 2 - Bonus 16.7608 19/3/2010 16.7608 16.6770
Templeton Monthly Income Plan - Monthly Dividend 10.2284 19/3/2010 10.2284 10.1773
Templeton Monthly Income Plan - Growth 25.5536 19/3/2010 25.5536 25.4258
Templeton Monthly Income Plan - Half Yearly Dividend 12.3442 19/3/2010 12.3442 12.2825
Templeton Monthly Income Plan - Quarterly Dividend 10.6311 19/3/2010 10.6311 10.5779
Ft India Monthly Income Plan B - Growth 26.6366 19/3/2010 26.6366 26.3702
Ft India Monthly Income Plan B - Monthly Dividend 11.5491 19/3/2010 11.5491 11.4336
Ft India Monthly Income Plan B - Quarterly Dividend 11.8077 19/3/2010 11.8077 11.6896
Ft India Monthly Income Plan A - Growth 26.6366 19/3/2010 26.6366 26.3702
Ft India Monthly Income Plan A - Monthly Dividend 11.5491 19/3/2010 11.5491 11.4336
Ft India Monthly Income Plan A - Quarterly Dividend 11.8077 19/3/2010 11.8077 11.6896
Ft India Monthly Income Plan A Bonus 1 - Bonus 12.2491 19/3/2010 12.2491 12.1266
Ft India Monthly Income Plan A Bonus 2 - Bonus 12.2491 19/3/2010 12.2491 12.1266
Ft India Monthly Income Plan B Bonus 1 - Bonus 12.2491 19/3/2010 12.2491 12.1266
Ft India Monthly Income Plan B Bonus 2 - Bonus 12.2491 19/3/2010 12.2491 12.1266
Templeton India Government Securities Fund - Composite Plan - Dividend 10.4578 19/3/2010 10.4578 10.4055
Templeton India Government Securities Fund - Composite Plan - Growth 32.6166 19/3/2010 32.6166 32.4535
Templeton India Government Securities Fund Pf Plan - Dividend 14.3261 19/3/2010 14.3261 14.2545
Templeton India Government Securities Fund Pf Plan - Growth 14.3261 19/3/2010 14.3261 14.2545
Templeton India Government Securities Fund Treasury Plan - Growth 16.3216 19/3/2010 16.3216 16.3216
Templeton India Government Securities Fund Treasury Plan - Dividend 10.3185 19/3/2010 10.3185 10.3185
Templeton India Government Securities Fund - Long Term Plan - Growth 22.7983 19/3/2010 22.7983 22.7983
Templeton India Government Securities Fund - Long Term Plan - Dividend 10.6028 19/3/2010 10.6028 10.6028
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Growth 16.8192 19/3/2010 16.8192 16.7772
Templeton India Government Securities Fund Long Term Plan Bonus 1 - Bonus 11.0753 19/3/2010 11.0753 11.0753
Templeton Floating Rate Income Fund Long Term Plan Retail Option - Dividend 10.7998 19/3/2010 10.7998 10.7728
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Dividend 10.3437 19/3/2010 10.3437 10.3178
Templeton Floating Rate Income Fund Long Term Plan Institutional Option - Growth 13.9493 19/3/2010 13.9493 13.9144
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Daily Dividend 10.0100 19/3/2010 10.0100   9.9850
Templeton Floating Rate Income Fund Long Term Plan Super Institutional Option - Growth 12.5862 19/3/2010 12.5862 12.5547
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Growth 16.6265 19/3/2010 16.6265 16.6265
Templeton Floating Rate Income Fund Short Term Plan Retail Option - Dividend 10.0539 19/3/2010 10.0539 10.0539
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Dividend 10.1558 19/3/2010 10.1558 10.1558
Templeton Floating Rate Income Fund Short Term Plan Institutional Option - Growth 13.7375 19/3/2010 13.7375 13.7375
Templeton India Short Term Income Plan Growth - Growth 1843.8332 19/3/2010 1843.8332 1834.6140
Templeton India Short Term Income Plan Weekly Dividend - Weekly Dividend 1075.0496 19/3/2010 1075.0496 1069.6744
Templeton India Short Term Income Plan Growth Bonus 1 - Bonus 1096.2612 19/3/2010 1096.2612 1090.7799
Templeton India Short Term Income Plan Monthly Dividend - Monthly Dividend 1120.1018 19/3/2010 1120.1018 1114.5013
Templeton India Short Term Income Plan Quarterly Dividend - Quarterly Dividend 1086.0346 19/3/2010 1086.0346 1080.6044
Templeton India Short Term Income Plan Institutional - Monthly Dividend 1153.1212 19/3/2010 1153.1212 1147.3556
Templeton India Short Term Income Plan Institutional - Weekly Dividend 1011.9972 19/3/2010 1011.9972 1006.9372
Templeton India Short Term Income Plan Institutional - Growth 1478.7804 19/3/2010 1478.7804 1471.3865
Franklin India International Fund - Growth 11.8432 18/3/2010 11.8432 11.7840
Franklin Templeton Fixed Tenure Fund Series I 60 Month Plan - Dividend 12.6534 19/3/2010 12.6534 12.1473
Franklin Templeton Fixed Tenure Fund Series I 60 Month Plan - Growth 17.6487 19/3/2010 17.6487 16.9428
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Dividend 13.8772 19/3/2010 13.8772 13.3221
Franklin Templeton Fixed Tenure Fund Series I I 60 Month Plan - Growth 16.7414 19/3/2010 16.7414 16.0717
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Dividend 11.8965 19/3/2010 11.8965 11.4206
Franklin Templeton Fixed Tenure Fund Series I V 60 Month Plan - Growth 14.3839 19/3/2010 14.3839 13.8085
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Dividend 12.0600 19/3/2010 12.0600 11.5776
Franklin Templeton Fixed Tenure Fund Series V I 60 Months Plan - Growth 14.0395 19/3/2010 14.0395 13.4779
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Dividend 11.7992 19/3/2010 11.7992 11.3272
Franklin Templeton Fixed Tenure Fund Series V I I I 60 Months Plan A - Growth 13.0107 19/3/2010 13.0107 12.4903
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Dividend 11.1167 19/3/2010 11.1167 10.8388
Franklin Templeton Fixed Tenure Fund Series I X Plan A - Growth 11.4292 19/3/2010 11.4292 11.1435
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Dividend 11.5670 19/3/2010 11.5670 11.2200
Franklin Templeton Fixed Tenure Fund Series I X Plan B - Growth 11.7809 19/3/2010 11.7809 11.4275
Franklin Templeton Fixed Tenure Fund Series X Plan A - Dividend 11.3524 19/3/2010 11.3524 11.0686
Franklin Templeton Fixed Tenure Fund Series X Plan A - Growth 11.8741 19/3/2010 11.8741 11.5772
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Dividend 11.3710 19/3/2010 11.3710 11.0867
Franklin Templeton Fixed Tenure Fund Series X - Plan B - Growth 11.8868 19/3/2010 11.8868 11.5896
Franklin Templeton Fixed Tenure Fund Series X Plan C - Dividend 11.9481 19/3/2010 11.9481 11.5897
Franklin Templeton Fixed Tenure Fund Series X Plan C - Growth 12.2688 19/3/2010 12.2688 11.9007
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Dividend 12.1244 19/3/2010 12.1244 11.7607
Franklin Templeton Fixed Tenure Fund Series X - Plan D - Growth 12.4412 19/3/2010 12.4412 12.0680
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Growth 10.3719 19/3/2010 10.3719 10.3719
Franklin Templeton Fixed Tenure Fund Series X I I - Plan A - Dividend 10.3719 19/3/2010 10.3719 10.3719
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Growth 10.1897 19/3/2010 10.1897 10.1897
Franklin Templeton Fixed Tenure Fund Series X I I - Plan B - Dividend 10.1897 19/3/2010 10.1897 10.1897
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Growth 10.0655 19/3/2010 10.0655 10.0655
Franklin Templeton Fixed Tenure Fund Series X I I I - Plan A - Dividend 10.0655 19/3/2010 10.0655 10.0655
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Annual Dividend 12.0869 19/3/2010 12.0869 11.7243
Templeton Fixed Horizon Fund Series I V - Plan A - Retail - Growth 12.3801 19/3/2010 12.3801 12.0087
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Annual Dividend 12.1235 19/3/2010 12.1235 11.7598
Templeton Fixed Horizon Fund Series I V - Plan A - Institutional - Growth 12.4170 19/3/2010 12.4170 12.0445
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 11.7372 19/3/2010 11.7372 11.3851
Templeton Fixed Horizon Fund Series X I - Plan G - Growth 11.7372 19/3/2010 11.7372 11.3851
Templeton Fixed Horizon Fund Series X I - Plan H - Dividend 11.6892 19/3/2010 11.6892 11.3385
Templeton Fixed Horizon Fund Series X I - Plan H - Growth 11.6892 19/3/2010 11.6892 11.3385
Templeton India Treasury Management Account Liquid Plan - Growth 1382.2748 19/3/2010 1382.2748 1382.2748
Templeton India Treasury Management Account Liquid Plan - Daily Dividend 1000.6730 19/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Liquid Plan - Weekly Dividend 1001.0968 19/3/2010 1001.0968 1001.0968
Templeton India Treasury Management Account Regular Plan - Growth 2264.1975 19/3/2010 2264.1975 2264.1975
Templeton India Treasury Management Account Regular Plan - Weekly Dividend 1245.0155 19/3/2010 1245.0155 1245.0155
Templeton India Treasury Management Account Regular Plan - Daily Dividend 1512.3400 19/3/2010 1512.3400 1512.3400
Templeton India Treasury Management Account Institutional Plan - Growth 1435.2894 19/3/2010 1435.2894 1435.2894
Templeton India Treasury Management Account Institutional Plan - Weekly Dividend 1055.3410 19/3/2010 1055.3410 1055.3410
Templeton India Treasury Management Account Institutional Plan - Daily Dividend 1000.6730 19/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Growth 1365.2565 19/3/2010 1365.2565 1365.2565
Templeton India Treasury Management Account Super Institutional Plan - Daily Dividend 1000.6730 19/3/2010 1000.6730 1000.6730
Templeton India Treasury Management Account Super Institutional Plan - Weekly Dividend 1021.7688 19/3/2010 1021.7688 1021.7688
Templeton India Ultra Short Bond Fund Retail Plan - Growth 11.7200 19/3/2010 11.7200 11.6907
Templeton India Ultra Short Bond Fund Retail Plan - Daily Dividend 10.0106 19/3/2010 10.0106   9.9856
Templeton India Ultra Short Bond Fund Retail Plan - Weekly Dividend 10.0087 19/3/2010 10.0087   9.9837
Templeton India Ultra Short Bond Fund Institutional Plan - Growth 11.7730 19/3/2010 11.7730 11.7436
Templeton India Ultra Short Bond Fund Institutional Plan - Daily Dividend 10.0111 19/3/2010 10.0111   9.9861
Templeton India Ultra Short Bond Fund Institutional Plan - Weekly Dividend 10.1988 19/3/2010 10.1988 10.1733
Templeton India Ultra Short Bond Fund Super Institutional Plan - Growth 11.8261 19/3/2010 11.8261 11.7965
Templeton India Ultra Short Bond Fund Super Institutional Plan - Daily Dividend 10.0116 19/3/2010 10.0116   9.9866
Templeton India Ultra Short Bond Fund Super Institutional Plan - Weekly Dividend 10.1009 19/3/2010 10.1009 10.0756
Templeton India Cash Management Account - Dividend 10.0000 19/3/2010 10.0000 10.0000
Templeton India Cash Management Account - Growth 15.8901 19/3/2010 15.8901 15.8901
Templeton India Money Market Account - Regular Account Bonus   1.0000 19/3/2010   1.0000   1.0000
Templeton India Money Market Account - Regular Account Dividend   1.0000 19/3/2010   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 12.8648 19/3/2010 12.8648 12.8648
Franklin Templeton Capital Safety Fund - 5 Years Plan - Annual Dividend 12.2998 19/3/2010 12.2998 12.2998
Franklin Templeton Capital Protection Oriented Fund - 3 Years Plan - Growth 12.4796 19/3/2010 12.4796 12.4796
Franklin Templeton Capital Protection Oriented Fund - 3 Years Plan - Annual Dividend 12.2008 19/3/2010 12.2008 12.2008
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Growth 12.9382 19/3/2010 12.9382 12.9382
Franklin Templeton Capital Protection Oriented Fund - 5 Years Plan - Annual Dividend 12.4826 19/3/2010 12.4826 12.4826


  Fund of Funds NAV NAV Date Subscription Price (Rs) Redemption Price (Rs)
Ft India Dynamic Pe Ratio Fund Of Funds - Dividend 34.0976 19/3/2010 34.0976 33.7566
Ft India Dynamic Pe Ratio Fund Of Funds - Growth 37.2470 19/3/2010 37.2470 36.8745
Ft India Life Stage Fund Of Funds - The 50s Plus - Dividend 12.4262 19/3/2010 12.4262 12.3019
Ft India Life Stage Fund Of Funds - The 50s Plus - Growth 17.6336 19/3/2010 17.6336 17.4573
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Dividend 12.9348 19/3/2010 12.9348 12.8055
Ft India Life Stage Fund Of Funds - The 50s Plus Floating Rate Plan - Growth 18.2704 19/3/2010 18.2704 18.0877
Ft India Life Stage Fund Of Funds - The 20s Plan - Dividend 33.7337 19/3/2010 33.7337 33.3964
Ft India Life Stage Fund Of Funds - The 20s Plan - Growth 33.7337 19/3/2010 33.7337 33.3964
Ft India Life Stage Fund Of Funds - The 30s Plan - Dividend 25.7508 19/3/2010 25.7508 25.5577
Ft India Life Stage Fund Of Funds - The 30s Plan - Growth 25.7508 19/3/2010 25.7508 25.5577
Ft India Life Stage Fund Of Funds - The 40s Plan - Dividend 16.1286 19/3/2010 16.1286 16.0076
Ft India Life Stage Fund Of Funds - The 40s Plan - Growth 21.6034 19/3/2010 21.6034 21.4414




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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