checking data freshness…

Franklin India Index Fund - BSE Plan - Dividend Plan

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
105066
NAV Date
2014-08-25
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
INF090I01908
ISIN (Reinvest)
INF090I01916
Last 30 days
2014-08-25
₹0.0000
-100.00%
2014-08-22
₹74.5877
+0.18%
2014-08-21
₹74.4550
+0.14%
2014-08-20
₹74.3497
-0.38%
2014-08-19
₹74.6360
+0.05%
2014-08-18
₹74.5960
+1.04%
2014-08-14
₹73.8304
+0.67%
2014-08-13
₹73.3382
+0.28%
2014-08-12
₹73.1311
+1.33%
2014-08-11
₹72.1697
+0.72%
2014-08-08
₹71.6538
-0.93%
2014-08-07
₹72.3287
-0.32%
2014-08-06
₹72.5614
-0.90%
2014-08-05
₹73.2233
+0.68%
2014-08-04
₹72.7308
+0.93%
2014-08-01
₹72.0605
-1.53%
2014-07-31
₹73.1814
-0.73%
2014-07-30
₹73.7193
+0.37%
2014-07-28
₹73.4445
-0.33%
2014-07-25
₹73.6862
-0.47%
2014-07-24
₹74.0350
+0.49%
2014-07-23
₹73.6704
+0.51%
2014-07-22
₹73.2981
+1.21%
2014-07-21
₹72.4189
+0.33%
2014-07-18
₹72.1828
+0.32%
2014-07-17
₹71.9493
+0.03%
2014-07-16
₹71.9255
+1.26%
2014-07-15
₹71.0309
+0.84%
2014-07-14
₹70.4406
-0.11%
2014-07-11
₹70.5166
-1.29%