Franklin India Debt Hybrid Fund (G)

5
Balanced Hybrid NAV 56.2679 0.115 14 June, 2019
  • 8.25%
  • 8Y 9M

Fund Details

Category Balanced Hybrid
Fund Type Open Ended
Investment Plan Growth
Launch Date 28 September, 2000
Benchmark CRISIL MIP Blended Fund
Asset Size(Cr) 333.21 (As on Apr 30, 2019)
Min Investment ₹ 10000
Min SIP Investment ₹ 500
Min Addl Investment ₹ 1000
Exit Load 1% for 365 days
Expense Ratio 2.29% (As on Apr 30, 2019)
Fund Manager Sachin Padwal-Desai (7.9), Umesh Sharma (7.9), Lakshmikanth Reddy (2.1), Srikesh Nair (2.1)

Investment Returns (As on 14 Jun, 2019)

  • 3 Month 2.5%
  • 6 Month 10.32%
  • 1 Year 10.32%
  • 3 Year 6.83%
  • 5 Year 8.25%
Graph
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Disclaimer: Above returns are calculated on the basis of historical NAV movement for the selected period. However, historical performance does not guarantee future returns. Investors must take investment decisions based on his/her own requirements.

Asset Allocation

  • Equity: 20.09%
  • Debt: 76.56%
  • Cash: 3.34%

Top Sector Allocation

  • Sector Allocation (%)
  • GOI-Sep-7.3164
  • VolkswagenFinancePvtLtd-Dec-6.9311
  • HousingDevelopmentFinanceCorpLtd-Jun-6.8818
  • Export-ImportBankOfIndia-Mar-5.6901
  • StateBankOfIndia-Sep-4.6333
  • EdelweissCommoditiesServicesLtd-Oct-4.5797
  • DLFPromenadeLtd-Dec-4.221
  • TataPowerCoLtd-Nov-4.0005
  • LICHousingFinanceLtd-Sep-3.4585
  • JMFinancialProductsLtd-Jul-3.4243

Peer Comparison

Fund Name 1 Yr Rtn. 3 Yr Rtn. 5 Yr Rtn.
Franklin India Debt Hybrid Fund (G) 10.32% 6.83% 8.25%
Franklin India Pension Fund (G) 6.21% 7.64% 9.78%
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