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Franklin India Fixed Maturity Plans - Series 1 - Plan B (1104 days) - Growth

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
141333
NAV Date
2020-05-21
Category
Sub-Category
Plan
Unknown
Option
Growth
ISIN
INF090I01LY2
ISIN (Reinvest)
Last 30 days
2020-05-21
₹0.0000
-100.00%
2020-05-20
₹12.2926
+0.01%
2020-05-19
₹12.2917
+0.01%
2020-05-18
₹12.2902
+0.04%
2020-05-15
₹12.2858
+0.02%
2020-05-14
₹12.2839
+0.01%
2020-05-13
₹12.2824
+0.02%
2020-05-12
₹12.2805
+0.02%
2020-05-11
₹12.2783
+0.04%
2020-05-08
₹12.2730
+0.03%
2020-05-06
₹12.2695
+0.02%
2020-05-05
₹12.2672
+0.02%
2020-05-04
₹12.2653
+0.06%
2020-04-30
₹12.2584
+0.01%
2020-04-29
₹12.2570
+0.01%
2020-04-28
₹12.2562
+0.00%
2020-04-27
₹12.2560
+0.02%
2020-04-24
₹12.2536
+0.01%
2020-04-23
₹12.2527
+0.01%
2020-04-22
₹12.2513
+0.03%
2020-04-21
₹12.2482
+0.02%
2020-04-20
₹12.2463
+0.05%
2020-04-17
₹12.2405
+0.04%
2020-04-16
₹12.2360
+0.01%
2020-04-15
₹12.2344
+0.02%
2020-04-13
₹12.2318
+0.06%
2020-04-09
₹12.2247
+0.01%
2020-04-08
₹12.2235
+0.01%
2020-04-07
₹12.2227
+0.05%
2020-04-03
₹12.2169
+0.07%