» Nav History

Nav History

Franklin India FMP - Sr.5 - Plan D - Dir (D) - Scheme Profile

Fund

Fund House : Franklin Templeton Mutual Fund

Fund Class : Fixed Maturity Plans

NAV 18 Nov 10.97 0.01
(0.09%)
Date Nav(Rs)
18-11-2019 10.97
15-11-2019 10.96
14-11-2019 10.96
13-11-2019 10.95
11-11-2019 10.94
08-11-2019 10.94
07-11-2019 10.93
06-11-2019 10.93
05-11-2019 10.93
04-11-2019 10.93
01-11-2019 10.92
31-10-2019 10.92
30-10-2019 10.90
29-10-2019 10.90
25-10-2019 10.89
24-10-2019 10.89
23-10-2019 10.88
22-10-2019 10.87
18-10-2019 10.86
17-10-2019 10.85