Franklin India Debt Hybrid Fund – Dir Growth

Hybrid . Conservative Hybrid Funds
 . 3
Monthly Amount Invested
Duration
Yr
  • Would Have Become
    --
  • Invested Value
    --
  • Total Gain
    --
  • Returns
    -- per annum
₹ 500 ₹ 10,000 0.55 % 3★ ₹ - 10 Years
Min SIP Min Lumpsum Expense Ratio Rating Fund Size Fund Age
₹ 500 ₹ 10,000 0.55 %
Min SIP Min Lumpsum Expense Ratio
3★ ₹ 0.55 Cr 10 Years
Rating Fund Size Fund Age

Scheme Performance

Returns and Ranks ( as on 12 August 2022 )
1 Month1M 1 Year1Y 3 Years3Y 5 Years5Y
Trailing Returns 4.46% 7.86% 6.70% 8.97%
Category Average 6.38% 9.79% 14.92% -

Scheme Allocation

Holding
Sector
Asset
GSEC2032
14.51%
TBILL-364D
7.29%
Net CA & Others
6.63%
Kotak Securities
5.68%
Bajaj Finance
3.91%
Others
61.97%
Debt
72.76%
Banks
5.99%
Cash & Others
4.56%
Consumer Durables
1.37%
Automobiles
1.16%
Others
14.17%
Govt Securities / Sovereign
47.89%
Equity
22.66%
Corporate Debentures
9.85%
T-Bills
7.29%
Net Curr Ass/Net Receivables
6.63%
Others
5.68%

Exit Load & Tax Implication

Exit Load Nil

Advance Ratio

-0.01 0.26 0.22 -0.04
Alpha SD Beta Sharpe

Risk-O-Meter

AMC Contact Details

Address:
Tower 2, 12th and 13h Floor, Senapati Bapat Marg, Elphinstone Road(West), Mumbai-400013
Contact:
022-67519100
Email ID:
service@franklintempleton.com

Frequently Asked Questions

The NAV of Franklin India Debt Hybrid Fund – Dir Growth is ₹74.21 as of 12 August 2022.