checking data freshness…

Franklin India Short-Term Income Plan-Institutional Plan - Monthly Dividend

Franklin Templeton Mutual Fund
₹1303.1356
-0.11%
Scheme Code
101246
NAV Date
2018-04-26
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
INF090I01387
ISIN (Reinvest)
INF090I01395
Last 30 days
2018-04-26
₹1303.1356
-0.11%
2018-04-25
₹1304.5221
-0.07%
2018-04-24
₹1305.4620
-0.01%
2018-04-23
₹1305.5753
-0.61%
2018-04-20
₹1313.5797
-0.13%
2018-04-19
₹1315.2570
-0.12%
2018-04-18
₹1316.8519
-0.05%
2018-04-17
₹1317.5218
+0.00%
2018-04-16
₹1317.5173
+0.06%
2018-04-13
₹1316.7249
+0.01%
2018-04-12
₹1316.5806
+0.01%
2018-04-11
₹1316.4619
-0.07%
2018-04-10
₹1317.4390
-0.05%
2018-04-09
₹1318.1603
+0.05%
2018-04-06
₹1317.4828
+0.04%
2018-04-05
₹1316.9491
+0.15%
2018-04-04
₹1314.9309
+0.02%
2018-04-03
₹1314.6773
+0.21%
2018-03-28
₹1311.9622
+0.05%
2018-03-27
₹1311.3645
+0.25%
2018-03-26
₹1308.1096
+0.03%
2018-03-23
₹1307.7032
+0.04%
2018-03-22
₹1307.2324
+0.03%
2018-03-21
₹1306.7881
-0.01%
2018-03-20
₹1306.8936
+0.01%
2018-03-19
₹1306.8210
-0.54%
2018-03-16
₹1313.9521
+0.11%
2018-03-15
₹1312.4873
+0.06%
2018-03-14
₹1311.6536
+0.03%
2018-03-13
₹1311.2819
+0.09%