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Franklin India Dynamic Asset Allocation Fof

NAV (direct) : 92.8486

(92.5781)

NAV (regular) : 85.6146

(85.3683)
Other - Fund Of Funds
Last Updated on 24-Feb-2021

Franklin India Dynamic Asset Allocation Fof net asset value or NAV jumped from 92.5781 to 92.8486 since last working day

Franklin India Dynamic Asset Allocation Fof last 1 year returns is 1.18%

Franklin India Dynamic Asset Allocation Fof last 3 year returns is 4.50%

Franklin India Dynamic Asset Allocation Fof last 5 year returns is 8.76%

Franklin India Dynamic Asset Allocation Fof returns since launch is 8.99%

Franklin India Dynamic Asset Allocation Fof asset under management or AUM is 876.32 crores

Franklin India Dynamic Asset Allocation Fof one year annualised return is 1.18 compared to benchmark CRISIL Hybrid 35+65 Aggressive Total Return Index one year annualised return of 20.37

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