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BSE Prices delayed by 5 minutes... << Prices as on Nov 03, 2025 - 10:43AM >>  ABB India  5246.55 [ 0.61% ] ACC  1889 [ 0.41% ] Ambuja Cements  569.25 [ 0.71% ] Asian Paints Ltd.  2502 [ -0.32% ] Axis Bank Ltd.  1236.7 [ 0.30% ] Bajaj Auto  8895.9 [ 0.02% ] Bank of Baroda  291.1 [ 4.60% ] Bharti Airtel  2059.4 [ 0.23% ] Bharat Heavy Ele  266.3 [ 0.02% ] Bharat Petroleum  363.15 [ 1.78% ] Britannia Ind.  5825.7 [ -0.25% ] Cipla  1505.65 [ 0.27% ] Coal India  389.55 [ 0.22% ] Colgate Palm  2209.2 [ -1.56% ] Dabur India  491.1 [ 0.66% ] DLF Ltd.  771.1 [ 1.97% ] Dr. Reddy's Labs  1197 [ -0.06% ] GAIL (India)  182.75 [ -0.03% ] Grasim Inds.  2909 [ 0.55% ] HCL Technologies  1541 [ -0.03% ] HDFC Bank  991.35 [ 0.37% ] Hero MotoCorp  5541.65 [ -0.06% ] Hindustan Unilever L  2455.2 [ -0.46% ] Hindalco Indus.  851.1 [ 0.40% ] ICICI Bank  1347.25 [ 0.16% ] Indian Hotels Co  744.95 [ 0.38% ] IndusInd Bank  799.6 [ 0.69% ] Infosys L  1478.75 [ -0.25% ] ITC Ltd.  418.5 [ -0.42% ] Jindal Steel  1075.15 [ 0.79% ] Kotak Mahindra Bank  2105.3 [ 0.16% ] L&T  4032.55 [ 0.03% ] Lupin Ltd.  1954.5 [ -0.50% ] Mahi. & Mahi  3555.2 [ 1.97% ] Maruti Suzuki India  15677 [ -3.18% ] MTNL  41.94 [ 0.58% ] Nestle India  1265.55 [ -0.47% ] NIIT Ltd.  104.5 [ 0.14% ] NMDC Ltd.  76.27 [ 0.65% ] NTPC  336.7 [ -0.04% ] ONGC  256.95 [ 0.59% ] Punj. NationlBak  124 [ 0.90% ] Power Grid Corpo  289.25 [ 0.38% ] Reliance Inds.  1494.05 [ 0.51% ] SBI  948.85 [ 1.26% ] Vedanta  504.75 [ 2.26% ] Shipping Corpn.  263.45 [ 1.48% ] Sun Pharma.  1698.05 [ 0.49% ] Tata Chemicals  868.5 [ -2.50% ] Tata Consumer Produc  1163.8 [ -0.11% ] Tata Motors Passenge  410.9 [ 0.20% ] Tata Steel  182.4 [ -0.30% ] Tata Power Co.  406.5 [ 0.36% ] Tata Consultancy  3034.3 [ -0.77% ] Tech Mahindra  1421 [ -0.27% ] UltraTech Cement  11948 [ 0.01% ] United Spirits  1436.6 [ 0.41% ] Wipro  241.15 [ 0.21% ] Zee Entertainment En  100.6 [ -0.05% ] 
Scheme Snapshot
Search Scheme 
    Franklin India Conservative Hybrid Fund - Plan A
    Fund : Franklin Templeton Mutual Fund
    Category : Debt - Hybrid
    Type : Open Ended
    NAV(31/10/2025) 92.0020
    Percentage Returns :
    1 Month Ago : 1.26%
    3 Months Ago : 0.83%
    1 Year Ago : 6.58%
Snapshot
Inception Date 9/28/2000 Fund Manager Mr. Rahul Goswami
Initial Price 10.00 Min. Invest. Rs.10000
Objectives Seeks to provide regular income through a portfolio of predominantly high quality fixed income securities with a maximum exposure of 20% to equities.
Entry Load Nil
Exit Load Nil
Trailing Returns
  1 Mth 3 Mths 1 Yr 3 Yrs
Scheme1.260.836.589.54
Category1.281.456.531.08
Sensex4.573.395.7311.38
Nifty4.513.856.2712.61
Nav Chart
other options
OptionsNAV
Growth92.0020 (31/10/2025)
IDCW-Quarterly12.2556 (31/10/2025)
IDCW-Monthly13.1730 (31/10/2025)
Assets Allocation
Holding DateValue (Rs. Cr)
15/10/2025204.97
30/09/2025202.93
15/09/2025204.16
31/08/2025202.03
15/08/2025203.38
mutual fund
One International Centre, Tower 2, 12th & 13th Floor, Senapati Bapat Marg, Elphinstone (West), Mumbai, Maharashtra, India - 400013
Email : services@franklintempleton.com
Web : https://www.franklintempletonindia.com
registrar
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