Templeton India Income Fund  
Fund Category : Debt And Liquid Funds
Fund Identifier TIIF
Fund Total Assets* Rs. 517.30(crores)
*As of Month ended July 31, 2010
Launch Date Mar 05, 1997
Base Currency Indian Rupees
Plan details GR, DP
Min. Investment 10,000
Load details Entry: Nil
  Exit: 0.50% (< 6 mths)
Expense Ratio 1.71%
As of 07/09/2010
Dividend Plan Rs. 10.5249
Growth Plan Rs. 32.2022
Growth Plan - NAV Daily Change Rs. 0.06
Annualized Compounded Returns
As of Month ended July 31, 2010
  TIIF Crisil Composite Bond Fund Index
1 Yr 3.49% 4.6%
3 Yr 5.89% 6.15%
5 Yr 5.77% 5.54%
Life 9.10% NA

Performance data quoted represents past performance, which does not guarantee future results. Current performance may differ from figures shown. Investment return and principal value will fluctuate with market conditions, and you may have a gain or loss when you sell/redeem your shares.

Fund Overview
Fund details

Fund Manager: Sachin Desai (PDF, 21k) Umesh Sharma (PDF, 17k)

Invests in quality fixed income instruments across segments

Commentary

View Fund Details
for more information
Associated Links
- Tax Centre
- Systematic Investing
- Want to Invest
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Fund Details
Fund Overview
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Maturity Details (As on- 31-July-10)
Average Maturity (years) 3.36
Yield to Maturity 7.47%
Modified Duration (years) 3.13
 
 
Portfolio Details
Top 10 Holdings (As of Month ended July 31, 2010)
IDBI BANK 12.98%
GOI 08.20% 2022 7.79%
TATA MOTORS 7.78%
GOI 07.80% 2020 7.73%
ORIENTAL BANK OF COMMERCE 4.77%
STATE BANK OF MYSORE 4.58%
GOI 07.02% 2016 3.73%
EXIM BANK 3.00%
RURAL ELECTRIFICATION CORPORATION 2.93%
PUNJAB NATIONAL BANK 2.86%
Composition by Assets (As of Month ended July 31, 2010)
Composition by Rating (As of Month ended July 31, 2010)

Annualized Compounded Returns
As of Month ended July 31, 2010

  Last 6 Months Last 1 year Last 3 years* Last 5 years* Last 7 years* Last 10 years* Since Inception*
TIIF 0.98% 3.49% 5.89% 5.77% 5.05% 7.71% 9.10%
Crisil Composite Bond Fund Index 2.46% 4.60% 6.15% 5.54% 4.85% NA NA
Past performance may or may not be sustained in future. Based on Growth Plan NAVs.
Returns for time periods less than one year are computed on an absolute basis and returns for periods greater than one year on a *compounded annualised basis.

Calender Year Total Returns

TIIF
Crisil Composite Bond Fund Index

Hypothetical Rs. 10,000 investment
As of Month ended July 31, 2010

Rs. 10,000 invested in the fund at inception, with all dividend and capital gain distributions reinvested, excluding sales charges, would be worth:


Rs. 32,148.80

View Historical:
Share Prices (As of September 08, 2010)
(updated daily)
NAV (Net Asset Value)1 Rs. 32.2022
NAV change Rs. 0.06
52-Week Range
NAV high (29/06/2010) Rs. 32.3215
NAV low (11/09/2009) Rs. 30.9391
NAV for last 30 days
View Historical Distributions:

Dividend
As of September 08, 2010

  Record Date Record Nav (Rs.) Ex. Div Date Ex. Div Nav (Rs.) Div Per Unit (Rs.)
December 24/12/2009 10.7637 29/12/2009 10.5209
0.2189860000(I)
         
0.2038155000(O)
March 26/03/2010 10.6333 29/03/2010 10.5524
0.0788349600(I)
         
0.0733735800(O)
June 25/06/2010 10.6517 28/06/2010 10.5608
0.0878421040(I)
         
0.0818699090(O)

Past performance may or may not be sustained in future. All dividends are calculated on a face value of Rs. 10 per unit in each of the schemes.

Please note that after the payment of dividend, the NAV falls to the extent of the dividend, distribution tax and cess wherever applicable.

Note: (I) - Individuals & HUF and (O) - Others
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Click here for Scheme Objectives & Risk factors | Disclaimer
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Copyright © 2010. Franklin Templeton Investments. All rights reserved.