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Summary Info
Fund Name Franklin Templeton Mutual Fund
Scheme Name Templeton India Value Fund - Direct (G)
AMC Franklin Templeton Mutual Fund
Type Open
Category Equity - Diversified
Launch Date 01-Jan-13
Fund Manager Rajasa Kakulavarapu
Net Assets ()Cr 2,208.54
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio NA NA
Date NA NA
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.58 2.27 -0.99 11.01 -5.18 18.26 28.22 15.57
Category Avg 0.81 3.26 0.36 15.77 -1.85 17.65 22.99 15.17
Category Best 2.74 8.64 7.47 36.03 20.47 30.63 36.87 47.25
Category Worst -0.92 -1.57 -8.44 -1.30 -19.47 2.07 12.39 -23.32
Holdings
Company Name No of Shares Market Value Hold %
HDFC Bank 1,900,000 180.80 8.19
Reliance Industr 950,000 128.93 5.84
Axis Bank 1,100,000 114.97 5.21
ICICI Bank 800,000 111.82 5.06
Maruti Suzuki 61,000 90.23 4.09
Cipla 500,000 79.47 3.60
SBI 950,000 76.24 3.45
TCS 240,000 74.03 3.35
O N G C 3,000,000 70.11 3.17
ITC 1,600,000 65.56 2.97
ICICI Pru Life 850,000 50.99 2.31
Infosys 340,000 49.97 2.26
City Union Bank 2,500,000 49.01 2.22
Emami 800,000 45.89 2.08
HDB FINANC SER 550,000 42.80 1.94
GAIL (India) 2,400,000 41.54 1.88
Tata Steel 2,500,000 38.62 1.75
Dr Reddy's Labs 300,000 37.80 1.71
Tata Motors 565,000 37.80 1.71
B P C L 1,200,000 36.98 1.67
IndusInd Bank 500,000 36.98 1.67
NTPC 1,100,000 36.03 1.63
UPL 500,000 35.79 1.62
Kirloskar Oil 389,910 35.03 1.59
Grasim Inds 125,000 34.70 1.57
RBL Bank 1,300,000 33.94 1.54
Ashok Leyland 2,600,000 33.01 1.49
Indus Towers 975,000 33.01 1.49
Sapphire Foods 1,000,000 32.71 1.48
Indiamart Inter. 125,000 32.47 1.47
Power Grid Corpn 1,150,000 31.65 1.43
Bandhan Bank 1,900,000 30.74 1.39
Akums Drugs 600,000 27.26 1.23
DCB Bank 2,100,000 25.70 1.16
HCL Technologies 145,000 21.09 0.96
Akzo Nobel 60,000 20.46 0.93
Guj.St.Petronet 700,000 20.29 0.92
JK Lakshmi Cem. 220,122 20.28 0.92
Restaurant Brand 2,350,000 18.78 0.85
Team Lease Serv. 105,000 18.74 0.85
Elecon Engg.Co 275,000 15.19 0.69
Gateway Distri 1,900,000 12.23 0.55
TVS Holdings 10,000 11.87 0.54
Go Fashion (I) 130,208 9.18 0.42
Finolex Inds. 432,497 9.17 0.42
Hyundai Motor I 30,000 7.38 0.33
UPL PP 50,000 3.58 0.16
Net CA & Others 0 73.82 3.34
Brookfield India 2,000,000 63.90 2.89