checking data freshness…

Franklin India Conservative Hybrid Fund - Monthly Bonus

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
100951
NAV Date
2015-06-08
Category
Sub-Category
Plan
Unknown
Option
Other
ISIN
INF090I01EF6
ISIN (Reinvest)
Last 30 days
2015-06-08
₹0.0000
-100.00%
2015-06-05
₹12.7646
-0.02%
2015-06-04
₹12.7670
-0.20%
2015-06-03
₹12.7926
-0.37%
2015-06-02
₹12.8396
-0.87%
2015-06-01
₹12.9518
-0.01%
2015-05-29
₹12.9529
+0.51%
2015-05-28
₹12.8876
+0.07%
2015-05-27
₹12.8787
+0.00%
2015-05-26
₹12.8785
-0.13%
2015-05-25
₹12.8953
+0.01%
2015-05-22
₹12.8946
+0.08%
2015-05-21
₹12.8848
-0.06%
2015-05-20
₹12.8923
+0.13%
2015-05-19
₹12.8757
+0.28%
2015-05-18
₹12.8396
+0.41%
2015-05-15
₹12.7871
+0.10%
2015-05-14
₹12.7740
+0.11%
2015-05-13
₹12.7594
+0.24%
2015-05-12
₹12.7284
-0.44%
2015-05-11
₹12.7844
+0.53%
2015-05-08
₹12.7173
+0.20%
2015-05-07
₹12.6925
-0.27%
2015-05-06
₹12.7268
-0.62%
2015-05-05
₹12.8062
-0.06%
2015-05-04
₹12.8142
+0.32%
2015-04-30
₹12.7738
-0.15%
2015-04-29
₹12.7933
-0.10%
2015-04-28
₹12.8067
+0.30%
2015-04-27
₹12.7682
-0.19%