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  • Equity
  • Dividend Yield
  • 19 Years Old Fund
Benchmark(s) : Nifty 500 Benchmark(s) : Nifty 500
image 2,416.60 Cr AUM imageimage As of 31/10/2025
image 89,000  Existing Investors imageimage As of 30/09/2025
Existing Investors image As of30/09/2025
image 89,000 image As of30/09/2025
Fund Size imageAs of 31/10/2025
image 2,416.60 Cr image As of 31/10/2025

  • An open ended equity scheme suitable for investors seeking long term capital appreciation by investing predominantly in dividend yielding companies.
How does the fund work?
  • The fund invests in Indian and emerging market companies that have the potential to provide growth through capital appreciation as well as regular income through dividends.
  • It seeks to provide a combination of regular income and long term capital appreciation by investing primarily in stocks that have a current or potentially attractive dividend yield by using a value strategy.
  • It has consistently declared a dividend every year for the last 17 years.
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youtube video Fund Video

  • This fund invests in Indian and emerging market companies that have the potential to provide growth through capital appreciation as well as regular income through dividends
  • The fund has consistently declared a dividend every year for the last 12 years

The recommended investment horizon is “5 years or more”
Alternative To
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Investments in Dividend Paying Companies

Suitable For
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Retirement Corpus

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Long Term Wealth Creation

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Education Corpus

As on 31/10/2025
  • NTPC Ltd. (Utilities)
  • HDFC Bank Ltd. (Banks)
  • GAIL India Ltd. (Utilities)
  • Infosys Ltd. (Software & Services)
  • Embassy Office Parks REIT (Equity Real Estate Investment Trusts (REITs))
  • Oil & Natural Gas Corp. Ltd. (Energy)
  • ITC Ltd. (Food, Beverage & Tobacco)
  • HCL Technologies Ltd. (Software & Services)
  • CESC Ltd. (Utilities)
  • Bharat Electronics Ltd. (Capital Goods)

Performance

Fund CAGRCurrent Value
Last 1 YearLast 3 YearsLast 5 Years Last 10 Years Last 15 Years Since Inception (18/05/2006) Last 1 YearLast 3 YearsLast 5 Years Last 10 Years Last 15 Years Since Inception (18/05/2006)
Performance for Regular Growth Plan As of 31/10/2025
Fund6.43%13.87%16.78%17.18%15.72%15.03%₹1,24,111₹4,42,526₹9,12,369₹29,58,069₹65,64,558₹1,23,66,914
Nifty 50014.13%15.96%17.72%16.22%14.91%13.89%₹1,28,939₹4,55,940₹9,33,591₹28,09,848₹61,18,060₹1,08,01,018
Nifty Dividend Opportunities 5014.55%14.61%17.76%16.56%14.59%12.91%₹1,29,198₹4,47,230₹9,34,542₹28,61,695₹59,51,168₹96,14,596
Performance for Direct Growth Plan As of 31/10/2025
Fund7.32%14.87%17.76%18.11%-17.11%₹1,24,678₹4,48,892₹9,34,554₹31,09,931-₹50,43,180
Nifty 50014.13%15.96%17.72%16.22%-15.39%₹1,28,939₹4,55,940₹9,33,591₹28,09,848-₹44,52,445
Nifty Dividend Opportunities 5014.55%14.61%17.76%16.56%-15.29%₹1,29,198₹4,47,230₹9,34,542₹28,61,695-₹44,22,640

Portfolio Current Allocations As of 31/10/2025

Top Holdings  % of Total

NTPC Ltd.
 5.02%
HDFC Bank Ltd.
 4.66%
GAIL India Ltd.
 4.39%
Infosys Ltd.
 4.21%
Embassy Office Parks REIT
 3.85%

Portfolio Composition

Created with Highcharts 11.1.0
Equity (94.00%) Fixed Income (0%) Cash & Cash Equivalents (6.00%)

Sector Breakdown  % of Equity

Power
 11.92%
IT - SOFTWARE
 9.89%
REITs
 9.89%
Gas
 6.92%
Banks
 6.34%

NAVs & Other Details

Fund Managers

Rajasa Kakulavarapu
Rajasa Kakulavarapu
Managing this fund since 06/09/2021
View all funds managed by him/her View all funds managed by him/her
Sandeep Manam
Sandeep Manam
Managing this fund since 18/10/2021
View all funds managed by him/her View all funds managed by him/her

Scheme Details

Inception18/05/2006
Benchmark(s)Nifty 500
Entry LoadNil
Exit LoadIn respect of each purchase of units - 1% if the units are redeemed/switched-out within one year of allotment
AUM (Month end) 2416.6 crores
Minimum Investment/Multiples for Fresh Purchase (₹)5000/1
Additional Investment/Multiples thereof (₹)1000/1

Financial Ratio

Standard Deviation3.53 %
Sharpe Ratio**1.04
RSquared Ratio0.80
Risk-free Rate5.69%
Portfolio Turnover20.93%
Managed funds by
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Daily NAVs

Plan NAV
Growth139.3522
IDCW25.3415
Plan NAV
Direct-Growth152.9855
Direct-IDCW28.7067
NAV in INR as on - 26/11/2025   Click here for Latest NAVs - AMFI
Click here for Latest NAVs - AMFI

IDCW History

PlanRecord DateDiv Per Unit (₹)Record NAV (₹)Ex.Div DateEx.Div NAV (₹)
IDCW23/09/20241.250030.209024/09/202429.1323
Direct-IDCW23/09/20241.400033.892424/09/202432.6876

Fund Documents

Product Label and Riskometer as on October 31, 2025

This product is suitable for Investors who are seeking*:
  • Long term capital appreciation
  • A fund that focuses on Indian and emerging market stocks that have a current or potentially attractive dividend yield, by using a value strategy.
Very High
The risk of the scheme is Very High risk
*Investors should consult their financial distributors if in doubt about whether the product is suitable for them.
Very High

The risk of the benchmark is Very High risk

Riskometer of Benchmark:Tier I - Nifty 500 Index
Tier II - Nifty Dividend Opportunities 50 Index

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Query Contexts

Franklin Hi there, do you need some help?