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Franklin India Conservative Hybrid Fund (Erstwhile Franklin India Debt Hybrid Fund) - Invest Now with Franklin Templeton India

imageimage This fund has moderately high risk
  • Hybrid
  • Conservative Hybrid
  • 25 Years Old Fund
Benchmark(s) : CRISIL Hybrid 85+15 - Conservative Index Benchmark(s) : CRISIL Hybrid 85+15 - Conservative Index
rupee 193.59 Cr AUM imageimage As of 30/06/2026
5,000  Existing Investors imageimage As of 30/06/2026
25  investors joined last month imageimage As of 31/07/2026
Existing Investors image As of30/06/2026
image 5,000 image As of30/06/2026
investors joined last month image As of31/07/2026
image 25 image As of31/07/2026
Fund Size imageAs of 30/06/2026
rupee 193.59 Cr image As of 30/06/2026

  • An open ended hybrid scheme investing predominantly in debt instruments.
  • It is suitable for investors seeking long term capital appreciation with lower volatility relative to equity funds.
How does the fund work?
  • The Equity allocation of the fund ranges between 10 to 25% while the Fixed income allocation ranges between 75 to 90%.
  • The fund manager strives to earn regular income from the fixed income securities by actively managing the fund’s portfolio.
  • The marginal equity allocation seeks to enhance the fund’s returns by acting as a "kicker” and provides this fund an edge over conventional debt funds.
What is Franklin India Conservative Hybrid Fund (Erstwhile Franklin India Debt Hybrid Fund)? banner image
Show Transcript

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  • This fund invests predominantly in debt instruments with a maximum exposure of 25% to equities
  • The fund manager strives to earn regular income from the fixed income market by actively managing the fund’s portfolio.
  • The marginal equity allocation seeks to enhance the funds returns by acting as a "kicker” and provides this fund an edge over conventional debt funds.

The recommended investment horizon is “3 years or more ”
Alternative To
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Multi Asset Investments

Suitable For
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Regular Income

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Reasonable Capital appreciation

Performance

Performance SIP
Fund CAGRCurrent Value
Last 1 YearLast 3 YearsLast 5 Years Last 10 Years Last 15 Years Since Inception (28/09/2000) Last 1 YearLast 3 YearsLast 5 Years Last 10 Years Last 15 Years Since Inception (28/09/2000)
Performance for Regular Growth Plan As of 30/06/2026
Fund1.81%5.36%6.80%7.04%7.62%8.28%₹1,21,159₹3,90,469₹7,12,105₹17,23,552₹32,92,074₹1,02,22,249
CRISIL Hybrid 85+15 - Conservative Index5.53%6.82%7.40%7.99%8.53%-₹1,23,523₹3,99,064₹7,22,906₹18,11,283₹35,50,618-
Crisil 10 Year Gilt Index4.49%6.24%6.42%5.97%6.40%-₹1,22,868₹3,95,638₹7,05,520₹16,30,196₹29,77,842-
Performance for Direct Growth Plan As of 30/06/2026
Fund2.47%6.09%7.56%7.83%-8.20%₹1,21,582₹3,94,715₹7,25,918₹17,96,629-₹28,98,833
CRISIL Hybrid 85+15 - Conservative Index5.53%6.82%7.40%7.99%-8.40%₹1,23,523₹3,99,064₹7,22,906₹18,11,283-₹29,42,978
Crisil 10 Year Gilt Index4.49%6.24%6.42%5.97%-6.31%₹1,22,868₹3,95,638₹7,05,520₹16,30,196-₹25,24,697

Portfolio Current Allocations As of 30/06/2026

Top Holdings  % of Total

BAJAJ FINANCE LTD, 7.82%, 1/31/34
 7.99%
Jubilant Bevco Ltd,
 7.46%
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT,
 5.50%
Small Industries Development Bank of India, 7.68%, 8/10/27
 5.29%
Bajaj Housing Finance Ltd7.9%, 04/28/2028
 5.27%

Portfolio Composition

Created with Highcharts 11.1.0
Corporate Debt (30.55%) Equity (22.02%) PSU/PFI Bonds (16.93%) Gilts (2.66%) Mutual Fund Units (1.58%) Alternative Investment Fund Units (0.39%) Call, Cash and Other Current Asset (18.39%)

NAVs & Other Details

Fund Managers

Rahul Goswami

Rahul Goswami

Managing this fund since 10/11/2023
View all funds managed by him/her View all funds managed by him/her

Scheme Details

Scheme Details
Inception28/09/2000
Benchmark(s)CRISIL Hybrid 85+15 - Conservative Index
Entry LoadNil
Exit LoadNil
AUM (Month end) 193.59 crores
Minimum Investment/Multiples for Fresh Purchase (₹)Plan A: 10000/1
Additional Investment/Multiples thereof (₹)Plan A: 1000/1
Managed funds by
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Daily NAVs

Daily NAVs - Growth
Plan NAV
Growth93.0848
Monthly - IDCW12.6519
Quarterly - IDCW11.7350
Daily NAVs - Direct
Plan NAV
Direct-Growth103.0033
Direct-Monthly - IDCW14.4063
Direct-Quarterly - IDCW13.5990
NAV in INR as on - 07/08/2026   Click here for Latest NAVs - AMFI
Click here for Latest NAVs - AMFI

IDCW History

IDCW History
PlanRecord DateDiv Per Unit (₹)Record NAV (₹)Ex.Div DateEx.Div NAV (₹)
Monthly - IDCW24/07/20260.070012.588427/07/202612.5615
Quarterly - IDCW19/06/20260.180011.749522/06/202611.5967
Direct-Monthly - IDCW24/07/20260.090014.341127/07/202614.3009
Direct-Quarterly - IDCW19/06/20260.225013.621622/06/202613.4288

Fund Documents

Product Label as on June 30, 2026

This product is suitable for Investors who are seeking*:
  • Medium term capital appreciation with current income
  • A fund that invests predominantly in debt instruments with marginal equity exposure.
Moderately High
 
The risk of the scheme is Moderately High risk.
*Investors should consult their financial distributors if in doubt about whether the product is suitable for them.
Moderately High

The risk of the benchmark is Moderately High Risk

Riskometer of Benchmark:CRISIL Hybrid 85+15 - Conservative Index

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