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ABB
7059.5
[-1.32]
ACC
1337.9
[0.55]
AMBUJA CEM
422.7
[1.86]
ASIAN PAINTS
2670.2
[0.36]
AXIS BANK
1380.9
[1.35]
BAJAJ AUTO
9815.8
[-1.99]
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280.9
[1.15]
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1890.4
[-0.56]
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404.2
[1.13]
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311.35
[0.92]
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5265.35
[0.46]
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1448.75
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443.3
[-0.14]
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1972.45
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422.95
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615.5
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1337.3
[2.77]
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174.8
[0.60]
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3136.15
[-0.17]
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1116
[0.55]
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789.65
[1.96]
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4933
[-0.78]
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2153.75
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982
[-0.46]
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1372
[2.54]
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729.9
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928.55
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1049.65
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290.15
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1090.3
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405.85
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4197.5
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2375
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3080.3
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13300
[-1.11]
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30.91
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1390
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103.5
[3.30]
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86.5
[1.53]
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360.65
[-1.11]
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241.9
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108
[0.61]
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292
[-0.09]
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1318
[0.66]
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1042.35
[1.79]
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282.3
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324.9
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1879.2
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349.85
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192.85
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395.65
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2104.95
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1459
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11415
[0.92]
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1349.45
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174.7
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112.9
[-1.68]
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NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
Franklin India Banking & PSU Debt Fund
Fund :
Franklin Templeton Mutual Fund
Category :
Debt - Income
Type :
Open Ended
NAV(
23/06/2026
)
23.7625
Percentage Returns :
1 Month Ago :
0.86%
3 Months Ago :
1.7%
1 Year Ago :
5.71%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2026
2025
2024
2023
2022
2026
Open :
23.20
Close :
23.76
Return(%) :
2.41
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
23.2014
23.2403
0.16
February
23.2336
23.3885
0.66
March
23.4055
23.3524
-0.22
April
23.2939
23.5458
1.08
May
23.5585
23.5870
0.12
June
23.6111
23.7625
0.64
January
23.2014
23.2403
0.16
February
23.2336
23.3885
0.66
March
23.4055
23.3524
-0.22
April
23.2939
23.5458
1.08
May
23.5585
23.5870
0.12
June
23.6111
23.7625
0.64
January
23.2014
23.2403
0.16
February
23.2336
23.3885
0.66
March
23.4055
23.3524
-0.22
April
23.2939
23.5458
1.08
May
23.5585
23.5870
0.12
June
23.6111
23.7625
0.64
January
23.2014
23.2403
0.16
February
23.2336
23.3885
0.66
March
23.4055
23.3524
-0.22
April
23.2939
23.5458
1.08
May
23.5585
23.5870
0.12
June
23.6111
23.7625
0.64
January
23.2014
23.2403
0.16
February
23.2336
23.3885
0.66
March
23.4055
23.3524
-0.22
April
23.2939
23.5458
1.08
May
23.5585
23.5870
0.12
June
23.6111
23.7625
0.64