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Nav History

Franklin India Savings Fund - Direct (G) - Scheme Profile

NAV 27 Nov 39.49 0.00
(0.00%)
Date Nav(Rs)
27-11-2020 39.49
26-11-2020 39.49
25-11-2020 39.48
24-11-2020 39.48
23-11-2020 39.47
20-11-2020 39.46
19-11-2020 39.46
18-11-2020 39.45
17-11-2020 39.44
13-11-2020 39.43
12-11-2020 39.43
11-11-2020 39.42
10-11-2020 39.42
09-11-2020 39.41
06-11-2020 39.40
05-11-2020 39.39
04-11-2020 39.39
03-11-2020 39.38
02-11-2020 39.38
29-10-2020 39.37