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ONE YEAR GROWTH CHART OF Franklin India Dynamic PE Ratio FOFs(G)
Peer Comparison
Scheme Name Net Asset(Rs.) FundsIndia
Rating
Current NAV(Rs.) 1 Year Return 3 Year Returns 5 Year Returns
ICICI Pru Asset Allocator Fund(G) 365,885.36 Lakhs. 5 57.38 9.37% 9.96% 10.28%
ICICI Pru Debt Mgmt Fund(G) 19,208.94 Lakhs. 2 30.61 8.70% 7.10% 9.06%
IDFC All Seasons Bond Fund-Reg(G) 14,225.72 Lakhs. 1 30.51 11.19% 7.32% 8.09%
HSBC Managed Solutions India-Conservative(G) 13,915.56 Lakhs. 3 15.10 7.29% 5.22% 7.14%

Franklin India Dynamic PE Ratio FOFs(G) is from the house of Franklin Templeton Asset Management (India) Private Limited. It belongs to the Hybrid: Asset Allocation




Franklin India Dynamic PE Ratio FOFs(G)

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