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Franklin India International Fund

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
101620
NAV Date
2010-05-03
Category
Sub-Category
Plan
Unknown
Option
Other
ISIN
ISIN (Reinvest)
Last 30 days
2010-05-03
₹0.0000
-100.00%
2010-04-30
₹11.9924
+2.91%
2010-04-21
₹11.6534
-0.00%
2010-04-20
₹11.6535
-0.42%
2010-04-19
₹11.7028
+0.80%
2010-04-16
₹11.6100
+0.08%
2010-04-15
₹11.6012
-0.53%
2010-04-13
₹11.6629
+0.37%
2010-04-12
₹11.6204
+0.71%
2010-04-09
₹11.5383
-0.28%
2010-04-08
₹11.5709
-0.13%
2010-04-07
₹11.5861
+0.44%
2010-04-06
₹11.5350
+0.13%
2010-04-05
₹11.5198
-1.41%
2010-03-31
₹11.6851
-0.36%
2010-03-30
₹11.7276
+0.29%
2010-03-29
₹11.6938
-0.58%
2010-03-26
₹11.7616
-0.38%
2010-03-25
₹11.8060
-0.52%
2010-03-23
₹11.8673
-0.03%
2010-03-22
₹11.8705
+0.22%
2010-03-19
₹11.8442
+0.01%
2010-03-18
₹11.8432
+0.20%
2010-03-17
₹11.8191
-0.48%
2010-03-15
₹11.8761
+0.27%
2010-03-12
₹11.8444
-0.09%
2010-03-11
₹11.8554
+0.17%
2010-03-10
₹11.8347
-0.23%
2010-03-09
₹11.8618
+0.18%
2010-03-08
₹11.8399
+0.11%