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Summary Info
Fund Name Franklin Templeton Mutual Fund
Scheme Name Franklin Asian Equity Fund (G)
AMC Franklin Templeton Mutual Fund
Type Open
Category Global Funds - Foreign Equity
Launch Date 19-Nov-07
Fund Manager Shyam Sundar Sriram
Net Assets ()Cr 259.99
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 -0.65 4.00 8.56 16.57 13.62 13.35 5.34 7.08
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 %
HDFC Bank 143,242 13.63 5.24
ICICI Bank 92,546 12.94 4.98
Eternal Ltd 274,237 8.61 3.31
Larsen & Toubro 17,462 6.29 2.42
Indian Hotels Co 81,901 6.21 2.39
HDFC Life Insur. 77,944 6.02 2.31
Oberoi Realty 33,976 5.47 2.11
Tata Consumer 48,886 5.21 2.00
Endurance Tech. 15,145 4.34 1.67
Tata Motors 60,370 4.04 1.55
Torrent Pharma. 10,870 3.87 1.49
Max Healthcare 33,445 3.86 1.48
Hindalco Inds. 53,016 3.73 1.44
Infosys 25,292 3.72 1.43
Tata Power Co. 83,278 3.12 1.20
360 ONE 23,199 2.36 0.91
Net CA & Others 0 5.17 1.99
Taiwan Semiconductor Manufacturing Co. Ltd 71,000 23.78 9.15
Tencent Holdings Ltd 23,500 15.86 6.10
Samsung Electronics Co. Ltd 18,979 8.38 3.22
Mediatek Inc 21,000 8.31 3.19
AIA Group Ltd 91,200 7.57 2.91
Alibaba Group Holding Ltd 56,904 7.45 2.87
Contemporary Amperex Technology Co Ltd 18,100 6.85 2.64
SK Hynix Inc 3,567 6.08 2.34
Hyundai Motor Co Ltd 4,114 5.74 2.21
Yum China Holdings INC 14,358 5.66 2.18
Trip.Com Group Ltd 7,750 5.07 1.95
DBS Group Holdings Ltd 12,640 4.38 1.69
Weichai Power Co Ltd 213,000 3.93 1.51
Xiaomi Corp 64,800 3.88 1.49
China Merchants Bank Co Ltd 68,500 3.72 1.43
Yageo Corp 84,000 3.38 1.30
Uni-President China Holdings Ltd 315,000 3.31 1.27
Bank Central Asia Tbk Pt 738,600 3.19 1.23
Techtronic Industries Co. Ltd 27,500 3.12 1.20
BDO Unibank Inc. 146,533 3.05 1.17
Midea Group Co Ltd 32,600 2.97 1.14
SF Holding Co Ltd 52,800 2.91 1.12
Makemytrip Ltd 3,335 2.90 1.12
Hong Kong Exchanges & Clearing Ltd 5,500 2.81 1.08
Sunresin New Materials Co Ltd 40,100 2.73 1.05
Minor International Pcl, Fgn. 357,587 2.28 0.88
Kia Corp 2,675 1.79 0.69
Sumber Alfaria Trijaya Tbk PT 1,509,600 1.78 0.68
Bangkok Dusit Medical Services Pcl 298,800 1.68 0.65
Quanta Computer Inc 21,000 1.59 0.61
LG Corp 2,320 1.10 0.42
Meituan 9,290 1.08 0.42
China Construction Bank Corp 118,000 1.00 0.39
Budweiser Brewing Co APAC Ltd 101,900 0.97 0.37
Shenzhen Mindray Bio-Medical Electronics Co Ltd 2,300 0.69 0.27
Samsung C&T Corp 366 0.39 0.15