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Franklin India Balanced Fund-Div

Franklin Templeton Mutual Fund
₹35.0549
+1.52%
Scheme Code
100482
NAV Date
2007-08-08
Category
Sub-Category
Plan
Unknown
Option
Other
ISIN
ISIN (Reinvest)
Last 30 days
2007-08-08
₹35.0549
+1.52%
2007-08-07
₹34.5304
+0.74%
2007-08-06
₹34.2764
-1.23%
2007-08-03
₹34.7041
+0.72%
2007-08-02
₹34.4551
+0.64%
2007-08-01
₹34.2368
-2.72%
2007-07-31
₹35.1937
+1.62%
2007-07-30
₹34.6320
+0.11%
2007-07-27
₹34.5947
-2.26%
2007-07-26
₹35.3956
+0.52%
2007-07-25
₹35.2124
-0.65%
2007-07-24
₹35.4432
-0.06%
2007-07-23
₹35.4637
+1.11%
2007-07-20
₹35.0759
+0.10%
2007-07-19
₹35.0413
+1.23%
2007-07-18
₹34.6172
+0.31%
2007-07-17
₹34.5094
-0.62%
2007-07-16
₹34.7247
+0.29%
2007-07-13
₹34.6226
+0.86%
2007-07-12
₹34.3286
+0.81%
2007-07-11
₹34.0513
-0.17%
2007-07-10
₹34.1084
-0.38%
2007-07-09
₹34.2375
+0.25%
2007-07-06
₹34.1517
+0.39%
2007-07-05
₹34.0199
-0.16%
2007-07-04
₹34.0742
-0.02%
2007-07-03
₹34.0797
+0.97%
2007-06-29
₹33.7532
+0.99%
2007-06-28
₹33.4215
+0.86%
2007-06-27
₹33.1349
-0.10%