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Franklin India Govt.Sec. Fund-Composite Plan - Growth

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
100485
NAV Date
2018-06-04
Category
Sub-Category
Plan
Unknown
Option
Growth
ISIN
INF090I01CR5
ISIN (Reinvest)
Last 30 days
2018-06-04
₹0.0000
-100.00%
2018-06-01
₹54.1356
-0.16%
2018-05-31
₹54.2226
-0.25%
2018-05-30
₹54.3602
-0.02%
2018-05-29
₹54.3702
-0.12%
2018-05-28
₹54.4353
+0.38%
2018-05-25
₹54.2301
+0.51%
2018-05-24
₹53.9556
-0.08%
2018-05-23
₹53.9972
-0.23%
2018-05-22
₹54.1233
+0.11%
2018-05-21
₹54.0624
+0.16%
2018-05-18
₹53.9740
+0.26%
2018-05-17
₹53.8352
0.00%
2018-05-16
₹53.8352
+0.01%
2018-05-15
₹53.8318
-0.40%
2018-05-14
₹54.0466
-0.69%
2018-05-11
₹54.4223
-0.09%
2018-05-10
₹54.4736
-0.01%
2018-05-09
₹54.4773
-0.76%
2018-05-08
₹54.8919
+0.46%
2018-05-07
₹54.6395
+0.63%
2018-05-04
₹54.2994
+0.05%
2018-05-03
₹54.2717
-0.02%
2018-05-02
₹54.2829
+0.21%
2018-04-27
₹54.1668
-0.05%
2018-04-26
₹54.1947
-0.16%
2018-04-25
₹54.2810
-0.42%
2018-04-24
₹54.5087
+0.42%
2018-04-23
₹54.2786
-0.09%
2018-04-20
₹54.3282
-0.53%