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Templeton India Value Fund - Growth Plan

Franklin Templeton Mutual Fund
₹670.8267
+0.38%

Templeton India Value Fund - Growth Plan is an AMFI-listed mutual fund scheme from Franklin Templeton Mutual Fund, categorized as (Equity) Value (ISIN INF090I01296). As of 2026-09-17, its NAV is ₹670.8267 (+0.38% from the previous day). Full daily NAV history since 2006-04-03 is available below, along with a free JSON API.

Source: AMFI

Fund details
Scheme Code
100496
Category
(Equity) Value
Plan
Regular
Option
Growth
ISIN
INF090I01296
ISIN (Reinvest)
Launch Date
1996-09-10
NFO Closed
Fund Structure
Open Ended
NAV Chart

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Last 50 days
Scheme Date NAV Chg
Templeton India Value Fund - Growth Plan 2026-09-17 ₹670.8267 +0.38%
Templeton India Value Fund - Growth Plan 2026-09-16 ₹668.3000 +0.18%
Templeton India Value Fund - Growth Plan 2026-09-15 ₹667.1179 -1.02%
Templeton India Value Fund - Growth Plan 2026-09-11 ₹673.9747 -0.24%
Templeton India Value Fund - Growth Plan 2026-09-10 ₹675.5775 -0.03%
Templeton India Value Fund - Growth Plan 2026-09-09 ₹675.7491 -0.83%
Templeton India Value Fund - Growth Plan 2026-09-08 ₹681.3807 -0.47%
Templeton India Value Fund - Growth Plan 2026-09-07 ₹684.5687 -0.39%
Templeton India Value Fund - Growth Plan 2026-09-04 ₹687.2780 -0.00%
Templeton India Value Fund - Growth Plan 2026-09-03 ₹687.3066 +0.48%
Templeton India Value Fund - Growth Plan 2026-09-02 ₹684.0502 -0.43%
Templeton India Value Fund - Growth Plan 2026-09-01 ₹687.0104 -0.31%
Templeton India Value Fund - Growth Plan 2026-08-31 ₹689.1660 +0.09%
Templeton India Value Fund - Growth Plan 2026-08-28 ₹688.5348 +0.20%
Templeton India Value Fund - Growth Plan 2026-08-27 ₹687.1941 -0.46%
Templeton India Value Fund - Growth Plan 2026-08-26 ₹690.3941 -0.38%
Templeton India Value Fund - Growth Plan 2026-08-25 ₹693.0452 -0.15%
Templeton India Value Fund - Growth Plan 2026-08-24 ₹694.0744 -0.12%
Templeton India Value Fund - Growth Plan 2026-08-21 ₹694.9363 +0.03%
Templeton India Value Fund - Growth Plan 2026-08-20 ₹694.7605 +0.78%
Templeton India Value Fund - Growth Plan 2026-08-19 ₹689.3688 -0.52%
Templeton India Value Fund - Growth Plan 2026-08-18 ₹692.9619 -0.28%
Templeton India Value Fund - Growth Plan 2026-08-17 ₹694.8765 -0.18%
Templeton India Value Fund - Growth Plan 2026-08-14 ₹696.1515 -0.48%
Templeton India Value Fund - Growth Plan 2026-08-13 ₹699.5280 -0.08%
Templeton India Value Fund - Growth Plan 2026-08-12 ₹700.0772 -0.27%
Templeton India Value Fund - Growth Plan 2026-08-11 ₹701.9791 -0.21%
Templeton India Value Fund - Growth Plan 2026-08-10 ₹703.4558 -0.06%
Templeton India Value Fund - Growth Plan 2026-08-07 ₹703.8887 -0.07%
Templeton India Value Fund - Growth Plan 2026-08-06 ₹704.3786 +0.20%
Templeton India Value Fund - Growth Plan 2026-08-05 ₹702.9822 -0.11%
Templeton India Value Fund - Growth Plan 2026-08-04 ₹703.7562 -0.48%
Templeton India Value Fund - Growth Plan 2026-08-03 ₹707.1346 +1.43%
Templeton India Value Fund - Growth Plan 2026-07-31 ₹697.1805 +0.00%
Templeton India Value Fund - Growth Plan 2026-07-30 ₹697.1505 +0.27%
Templeton India Value Fund - Growth Plan 2026-07-29 ₹695.2672 +1.07%
Templeton India Value Fund - Growth Plan 2026-07-28 ₹687.8939 -0.04%
Templeton India Value Fund - Growth Plan 2026-07-27 ₹688.1888 +0.81%
Templeton India Value Fund - Growth Plan 2026-07-24 ₹682.6307 -0.11%
Templeton India Value Fund - Growth Plan 2026-07-23 ₹683.3970 -0.79%
Templeton India Value Fund - Growth Plan 2026-07-22 ₹688.8347 -1.24%
Templeton India Value Fund - Growth Plan 2026-07-21 ₹697.4948 -0.46%
Templeton India Value Fund - Growth Plan 2026-07-20 ₹700.7279 -0.57%
Templeton India Value Fund - Growth Plan 2026-07-17 ₹704.7309 +0.43%
Templeton India Value Fund - Growth Plan 2026-07-16 ₹701.7447 -0.30%
Templeton India Value Fund - Growth Plan 2026-07-15 ₹703.8293 +0.26%
Templeton India Value Fund - Growth Plan 2026-07-14 ₹701.9753 -0.66%
Templeton India Value Fund - Growth Plan 2026-07-13 ₹706.6156 +0.18%
Templeton India Value Fund - Growth Plan 2026-07-10 ₹705.3159 +1.44%
Templeton India Value Fund - Growth Plan 2026-07-09 ₹695.3166 +0.34%