Franklin India Dynamic PE Ratio Fund of Funds-Growth

Fund Returns

NAV Rs. 69.54 0.67 %
(as on March 27, 2020)
1 yr Return -17.39 %
3 yr. Return 6.46 %
5 yr. Return 6.97 %

Fund Returns

NAV 1 yr Return 3 yr. Return 5 yr. Return
Rs. 69.54 0.67 %
(as on March 27, 2020)
-17.39 % 6.46 % 6.97 %

Fund Portfolio

Asset Breakup

Asset Type %
Mutual Funds 100.34 %

As on Mar 2020

Market Cap Distribution

Small Cap 0.00 %
Mid Cap 0.00 %
Large Cap 0.00 %
Others 100.00 %

As on Mar 2020

Fund Sector Distribution

Sector Holding %
Others 100.14 %
Cash/Deposits/Margins/Repo/Swaps -0.13 %

Ratings Breakup

Scheme Holdings

Fund Schemes Concentrations

# of Securities 5
Top 10 Securities 100.01 %
Top 5 Securities 100.01 %
Top 3 Securities 100.14 %
# of Sectors 2
Top 10 Sectors 100.01 %
Top 5 Sectors 100.01 %
Top 3 Sectors 100.01 %