Franklin India Savings Fund - Growth Option

Fund Returns

NAV Rs. 36.33 0.01 %
(as on Dec. 13, 2019)
1 yr Return 8.65 %
3 yr. Return 7.73 %
5 yr. Return 7.91 %

Fund Returns

NAV 1 yr Return 3 yr. Return 5 yr. Return
Rs. 36.33 0.01 %
(as on Dec. 13, 2019)
8.65 % 7.73 % 7.91 %

Fund schemes

Security Holding (%)
(as on )
Market Value
(in Rs. crores.)
Quantity
Icici Bank Ltd (17-Jul-2020) ** 5.38 192.23 -
Lic Housing Finance Ltd (28-May-2020) 4.33 154.54 -
Small Industries Development Bank Of India (15-May-2020) 3.4 121.35 -
Power Finance Corp Ltd (06-Mar-2020) ** 2.87 102.59 -
Bank Of Baroda (01-Jun-2020) 2.71 96.88 -
Housing Development Finance Corp Ltd (10-Jul-2020) ** 2.68 95.77 -
Fullerton India Credit Co Ltd (15-Jul-2020) ** 2.67 95.19 -
Rec Ltd (04-Mar-2020) ** 2.2 78.56 -
Hdfc Bank Ltd (06-Mar-2020) ** 2.2 78.6 -
Rec Ltd (07-Feb-2020) ** 2.07 73.93 -