Franklin India Dynamic Asset Allocation FOFs G

Franklin India Dynamic Asset Allocation FOFs(G)

Open Ended
FoFs : Domestic
Rating : Unrated

₹ 164.24

NAV

Fund House

Fund Manager
Rajasa Kakulavarapu

Date of Incorporation
30 November -0001

Total AUM
₹1313.70 Cr

Fund Benchmark
CRISIL Hybrid 50+50 – Moderate Index
52 Week High
₹ 165.21
52 Week Low
₹ 151.09

Plan Your Long Term Goals


5,000 per month

Duration





Total investment of ₹ 0
Would have become ₹ 0

Market Cap Distribution

  • Large Cap

  • Mid Cap

  • Small Cap

Avg Market Cap

(In Crore)

Advanced Ratios

P/E Ratio
P/B Ratio
Sharpe0.37

Alpha0.38
Beta0.49
Sortino0.87

Past Returns

Duration 1M 3M 6M 12M
Fund Returns 0.40% 5.07% 3.22% 7.29%
Duration 1Y 3Y 5Y 10Y
Fund Returns 7.29% 16.59% 19.19% 10.29%

Download Form
Ask On Whatsapp

Top Rated Funds

Ready to explore mutual fund investments? Our experts can help you understand the options, risks, and potential returns to build a financial roadmap tailored to your goals. Schedule a consultation today!

Expert Icon
Talk to an Expert

Mutual Funds Specialist

Expert Icon

Plan Smarter. Invest Better. Retire Happier.

Plan Smarter. Invest Better. Retire Happier