checking data freshness…

Franklin India Fixed Maturity Plans-Series 5 - Plan C 1259 days - Direct - IDCW

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
145778
NAV Date
2022-06-01
Category
Sub-Category
Plan
Direct
Option
IDCW
ISIN
INF090I01RA9
ISIN (Reinvest)
Last 30 days
2022-06-01
₹0.0000
-100.00%
2022-05-31
₹10.4488
+0.01%
2022-05-30
₹10.4477
+0.03%
2022-05-27
₹10.4442
+0.01%
2022-05-26
₹10.4431
+0.01%
2022-05-25
₹10.4419
+0.01%
2022-05-24
₹10.4408
+0.01%
2022-05-23
₹10.4396
+0.03%
2022-05-20
₹10.4362
+0.01%
2022-05-19
₹10.4351
+0.01%
2022-05-18
₹10.4340
+0.01%
2022-05-17
₹10.4329
+0.04%
2022-05-13
₹10.4283
+0.01%
2022-05-12
₹10.4272
+0.01%
2022-05-11
₹10.4261
+0.01%
2022-05-10
₹10.4249
+0.01%
2022-05-09
₹10.4238
+0.03%
2022-05-06
₹10.4203
+0.01%
2022-05-05
₹10.4191
+0.01%
2022-05-04
₹10.4181
+0.02%
2022-05-02
₹10.4164
+0.03%
2022-04-29
₹10.4130
+0.01%
2022-04-28
₹10.4120
+0.01%
2022-04-27
₹10.4110
+0.01%
2022-04-26
₹10.4099
+0.01%
2022-04-25
₹10.4090
+0.03%
2022-04-22
₹10.4060
+0.01%
2022-04-21
₹10.4052
+0.01%
2022-04-20
₹10.4041
+0.01%
2022-04-19
₹10.4031
+0.01%