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Franklin India Fixed Maturity Plans - Series 3 - Plan E 1104 days - IDCW

Franklin Templeton Mutual Fund
₹0.0000
-100.00%
Scheme Code
143374
NAV Date
2021-06-01
Category
Sub-Category
Plan
Unknown
Option
IDCW
ISIN
INF090I01OB4
ISIN (Reinvest)
Last 30 days
2021-06-01
₹0.0000
-100.00%
2021-05-31
₹10.7869
+0.03%
2021-05-28
₹10.7841
+0.01%
2021-05-27
₹10.7832
+0.02%
2021-05-25
₹10.7814
+0.01%
2021-05-24
₹10.7804
+0.03%
2021-05-21
₹10.7775
+0.01%
2021-05-20
₹10.7765
+0.01%
2021-05-19
₹10.7755
+0.01%
2021-05-18
₹10.7746
+0.01%
2021-05-17
₹10.7737
+0.03%
2021-05-14
₹10.7709
+0.02%
2021-05-12
₹10.7690
+0.01%
2021-05-11
₹10.7680
+0.01%
2021-05-10
₹10.7670
+0.03%
2021-05-07
₹10.7643
+0.01%
2021-05-06
₹10.7633
+0.01%
2021-05-05
₹10.7624
+0.01%
2021-05-04
₹10.7614
+0.01%
2021-05-03
₹10.7605
+0.03%
2021-04-30
₹10.7577
+0.01%
2021-04-29
₹10.7567
+0.01%
2021-04-28
₹10.7558
+0.01%
2021-04-27
₹10.7552
+0.01%
2021-04-26
₹10.7543
+0.03%
2021-04-23
₹10.7515
+0.01%
2021-04-22
₹10.7505
+0.02%
2021-04-20
₹10.7486
+0.01%
2021-04-19
₹10.7472
+0.02%
2021-04-16
₹10.7446
+0.01%