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Franklin India Pension Plan - Growth
ISIN No.
INF090I01510
Current NAV
184.822
Category
Hybrid Funds - Balanced Hybrid / Aggressive Hybrid
Launch Date
31 Mar 1997
Type
Open Ended
Net Assets
36729.82 (in Lakhs)
Benchmark Name
Crisil Composite Bond Fund Index
Riskometer
Low
Moderate Low
Moderate
Moderate High
High
Very High
Investment Details
500
Minimum Investment
500
Subsequent Investment
1
Multiples
1000
SIP Initial Investment
Exit Load
Entry Nil Exit 3% (if redeemed before 58 years) subject to a 3 financial year lock-in period) Nil (if redeemed after the age of 58 years) * Conditions apply
Who is Eligible?

Individuals

Minor through Parent/Lawful Guardian

Foreign Institutional Investors

Financial Institutions and Investment Institutions

Non-resident Indians/Persons of Indian origin residing abroad

Association of Persons

Partner(s) of Partnership Firms

Societies

Companies

Trusts

YearFund Return
2022 3.0314
2021 9.6476
2020 8.4683
2019 8.7531
2018 1.2886
YearQ1Q2Q3Q4
2022 -1.1491 -4.5411 5.5314 3.2170
2021 2.1985 3.3267 3.6546 -0.1565
2020 -8.5435 7.6100 1.0531 9.0040
2019 3.1783 1.4042 0.2547 3.6848
2018 -2.1828 0.6909 0.5832 1.8058
Sponsor Name Franklin Templeton Asset Management (India) Pvt. Ltd.
Fund Manager Mr. Anand
Since 31 Mar 1997
Status A
Setup Date 31 Mar 1997
Phone //
Address One International Centre, Tower 2, 12th and 13th Floor,Bandra Kurla Complex,,MUMBAI,MAHARASHTRA - 400013
Email service@templeton.com
SUNDARAM BNP PARIBAS FUNDS SERVICES LIMITED
Address SUNDARAM BNP PARIBAS MUTUAL FUND,CENTRAL PROCESSING CENTRE, RR tOWERS II,III FLOOR,THIRU VI KA INDUSTRIAL ESTATE, GUINDY,CHENNAI - 600032
Phone 044-22504722//
Fax
Email

Disclaimer :-

1. Investors should consult their Financial Advisers if before making any Investment Decision on sutability of the Product.
2. Past performance may or may not be sustained in future and should not be used as a basis for investments.
3. Fund Returns and Benchmark Performance figures are calculated on a daily NAV to basis for the Growth option of the selected scheme for the relevant
4. The Net Assets are as per the last published Monthly AUM by the respective fund house.
5. Investors are advised to check the information Shown abobe from AMFI , Mutual Fund and Over websites before Making any Investment RR will not take any responsibility for any information provide on this website.
Top 10 Holdings (as on 31-Aug-2015) Portfolio Chart (as on 31-Aug-2015)
CompanyInstrument/SectorCredit RankingAssets Allocation(%)
9.23% GOI 2043, 23-Dec-2043 SOV 19.3614
9.20% GOI 2030, 30-Sep-2030 SOV 18.9908
8.60% GOI 2028, 02-Jun-2028 SOV 8.7793
4% HPCL-Mittal Pipelines Ltd (21-AUg-2021) ** ICRA AA- 8.5725
HDFC Bank Ltd. Banks Equity 3.1005
Eicher Motors Ltd. Auto Equity 2.9959
Call, Cash & Other Assets Cash 2.5306
0% Andhra Pradesh Expressway Ltd (15-Oct-2024) ** ICRA AAA(SO) 2.5126
ICICI Bank Ltd. Banks Equity 2.3565
Infosys Ltd. Software Equity 2.1661

RR Investors Capital Services Pvt. Ltd AMFI-registered Mutual Fund Distributor

Head Office - 4th floor, Indraprakash Building 21, Barakhamba Road, New Delhi – 110001

callLandline Number
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Customer Care
+919350316010

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