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Templeton India Short-Term Income Plan-Institutional Plan - Weekly Dividend

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
101245
NAV Date
2013-03-19
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
ISIN (Reinvest)
INF090I01379
Last 30 days
2013-03-19
₹0.0000
-100.00%
2013-03-18
₹1011.6146
-0.36%
2013-03-15
₹1015.2261
+0.08%
2013-03-14
₹1014.4313
+0.19%
2013-03-13
₹1012.4687
+0.05%
2013-03-12
₹1011.9476
+0.01%
2013-03-11
₹1011.8562
-0.23%
2013-03-08
₹1014.1622
+0.04%
2013-03-07
₹1013.7833
+0.06%
2013-03-06
₹1013.1817
+0.10%
2013-03-05
₹1012.1826
+0.04%
2013-03-04
₹1011.8229
-0.05%
2013-03-01
₹1012.2924
+0.04%
2013-02-28
₹1011.8838
-0.03%
2013-02-27
₹1012.2021
+0.05%
2013-02-26
₹1011.7153
+0.00%
2013-02-25
₹1011.6801
-0.07%
2013-02-22
₹1012.3791
-0.01%
2013-02-21
₹1012.5198
+0.02%
2013-02-20
₹1012.3543
+0.07%
2013-02-18
₹1011.6082
+0.04%
2013-02-15
₹1011.2377
-0.00%
2013-02-14
₹1011.2446
-0.06%
2013-02-13
₹1011.8317
+0.00%
2013-02-12
₹1011.8138
+0.01%
2013-02-11
₹1011.6957
-0.15%
2013-02-08
₹1013.1893
+0.04%
2013-02-07
₹1012.7703
+0.13%
2013-02-06
₹1011.4955
+0.02%
2013-02-05
₹1011.3377
+0.01%