scanner-img
Summary Info
Fund Name Franklin Templeton Mutual Fund
Scheme Name Franklin India Dividend Yield Fund (G)
AMC Franklin Templeton Mutual Fund
Type Open
Category Global Funds - Foreign Equity
Launch Date 22-Mar-06
Fund Manager Rajasa Kakulavarapu
Net Assets ()Cr 2,316.57
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 -1.47 0.56 -0.91 2.48 -8.42 18.41 24.97 14.46
Category Avg 0.01 3.14 10.08 18.03 16.33 21.62 14.26 11.63
Category Best 1.13 10.85 25.49 54.50 45.64 36.41 25.99 16.33
Category Worst -1.47 -0.87 -0.91 2.48 -8.42 13.39 5.35 7.03
Holdings
Company Name No of Shares Market Value Hold %
NTPC 3,600,000 117.92 5.09
HDFC Bank 1,140,000 108.48 4.68
NHPC Ltd 13,500,000 104.26 4.50
Infosys 686,814 100.93 4.36
GAIL (India) 5,800,000 100.38 4.33
HCL Technologies 640,932 93.24 4.03
ITC 2,050,000 84.00 3.63
O N G C 3,500,000 81.80 3.53
Coal India 1,713,809 64.23 2.77
CESC 4,220,000 64.22 2.77
Bharat Electron 1,700,000 62.80 2.71
TCS 191,460 59.06 2.55
Hind. Unilever 200,000 53.20 2.30
H P C L 1,291,500 48.55 2.10
Power Grid Corpn 1,700,000 46.79 2.02
Maruti Suzuki 29,000 42.89 1.85
Castrol India 2,000,000 39.45 1.70
Akzo Nobel 115,000 39.22 1.69
SBI 434,000 34.83 1.50
REC Ltd 980,800 34.33 1.48
Indus Towers 1,000,000 33.86 1.46
Mahanagar Gas 250,000 31.30 1.35
Chambal Fert. 579,157 31.28 1.35
Emami 522,050 29.94 1.29
Tech Mahindra 200,000 29.63 1.28
Grasim Inds 103,351 28.69 1.24
I O C L 2,068,000 28.25 1.22
Ashok Leyland 2,000,000 25.40 1.10
Guj.St.Petronet 840,000 24.35 1.05
Tata Steel 1,400,000 21.63 0.93
Petronet LNG 750,000 20.21 0.87
Bajaj Auto 20,000 17.26 0.75
Kajaria Ceramics 132,119 15.98 0.69
Gateway Distri 2,260,000 14.55 0.63
Angel One 50,000 11.05 0.48
Finolex Inds. 500,000 10.60 0.46
Vedant Fashions 140,000 10.37 0.45
P & G Hygiene 4,280 5.60 0.24
Net CA & Others 0 136.15 5.88
Yuanta/P-shares Taiwan Dividend Plus ETF 1,981,000 20.01 0.86
Unilever PLC, (ADR) 86,900 48.44 2.09
Mediatek Inc 80,000 31.64 1.37
Xtep International Holdings Ltd 2,297,307 17.23 0.74
Misto Holdings Corp 65,000 17.20 0.74
Hyundai Motor Co Ltd 12,220 17.04 0.74
Cognizant Technology Solutions Corp., A 25,300 16.12 0.70
Hon Hai Precision Industry Co Ltd 250,000 14.69 0.63
Embassy Off.REIT 2,335,000 90.57 3.91
Brookfield India 2,202,489 70.37 3.04
Knowledge Realty 3,999,900 42.85 1.85
Nexus Select 1,600,000 23.72 1.02