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NAV HISTORY

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Franklin India Banking & PSU Debt Fund - Direct Plan
Fund : Franklin Templeton Mutual Fund
Category : Debt - Banking & PSU
Type : Open Ended
NAV(25/04/2025) 23.2202
Percentage Returns :
1 Month Ago : 1.82%
3 Months Ago : 3.23%
1 Year Ago : 9.29%

NAV DateRepurcahse (₹)Sale (₹)Amount (₹)
25/04/202523.2223.2223.22
24/04/202523.2423.2423.24
23/04/202523.2323.2323.23
22/04/202523.2023.2023.20
21/04/202523.1823.1823.18
17/04/202523.1223.1223.12
16/04/202523.1423.1423.14
15/04/202523.1323.1323.13
11/04/202523.0923.0923.09
09/04/202523.0423.0423.04
08/04/202523.0123.0123.01
07/04/202523.0223.0223.02
04/04/202523.0123.0123.01
03/04/202523.0223.0223.02
02/04/202523.0023.0023.00
31/03/202522.9022.9022.90
28/03/202522.8922.8922.89
27/03/202522.8522.8522.85

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