Franklin India Floating Rate Fund-Direct (IDCW-D)

by:Franklin India Floating Rate Fund

Statistics

  • AUM

    316.15Cr

  • Returns

    1y : 8.87%
    3y : 6.96%
    5y : 6.21%
    Since Inception : 6.75%

  • NAV

    10.16 ( as on 19-12-2024)

  • Risk

    Moderately Low

  • Last Dividend Paid

    0.00

  • Expense Ratio

    0.00%

  • Benchmark

    CRISIL Low Duration Debt Index

  • Exit Load

    -

Fund Manager Name
Pallab Roy
Qualification
MBA (Fin.), M.Com.,
Designation
FUND MANAGER
Experience
Mr. Roy is a M.Com and MBA (Finance).He has been associated with Franklin Templeton Investments since 2001.
Remarks

    Holdings

  • Company

    Sector

    Percentage held

  • GSEC2033

    NA

    27.78%

  • GSEC2028

    NA

    23.64%

  • GSEC2024

    NA

    19.45%

  • GSEC2020

    16.65%

  • Cooperatieve Rab

    13.57%

  • Gsec2029

    NA

    12.11%

  • GSEC2025

    NA

    10.42%

  • GESC

    NA

    10.01%

  • REC Ltd

    NA

    9.40%

  • Aditya Birla Hsg

    NA

    8.64%

  • Kotak Mah. Bank

    NA

    8.64%

  • H D F C

    NA

    8.50%

  • LIC Housing Fin.

    NA

    8.08%

  • GSEC2021

    NA

    8.04%

  • N A B A R D

    NA

    7.95%

  • HDB FINANC SER

    NA

    7.84%

  • A Birla Finance

    NA

    7.80%

  • S I D B I

    NA

    7.72%

  • KOTAK MAHI. INV.

    NA

    7.45%

  • Bajaj Finance

    NA

    7.09%

  • Toyota Financial

    NA

    6.82%

  • HDFC Bank

    NA

    6.81%

  • Mankind Pharma

    NA

    6.73%

  • Axis Bank

    NA

    6.70%

  • Bharti Telecom

    NA

    6.69%

  • TBILL-182D

    NA

    6.68%

  • TBILL-364D

    NA

    6.66%

  • GSEC2029

    5.82%

  • PNB Housing

    5.73%

  • GSEC2027

    NA

    5.65%

  • ONGC Petro Add.

    NA

    5.35%

  • GSEC2031

    NA

    5.26%

  • GSEC2030

    NA

    5.13%

  • GSEC2034

    NA

    5.07%

  • JM Finan. Credit

    NA

    3.80%

  • Food Corp of Ind

    NA

    3.26%

  • Indostar Capital

    NA

    3.18%

  • GSEC2023

    NA

    2.86%

  • Julius Baer Cap.

    NA

    1.60%

  • E X I M Bank

    NA

    1.59%

  • GSEC2026

    NA

    1.57%

  • GSEC2022

    NA

    1.41%

  • CDMDF (Class A2)

    Alternative Investment Fund Units

    0.27%

  • Net CA & Others

    NA

    -0.00%

Scheme Objective

To provide income and liquidity consistent with the prudent risk from a portfolio comprising of money market and debt instruments.

AMC Details

  • Name

    Franklin Templeton Asset Management (I) Pv

  • Email Id

    service@franklintempleton.com

  • Website Url

    www.franklintempletonindia.com

  • Address

    Tower 2, 12th and 13h Floor,Senapati Bapat Marg,Elphinstone Road(West), Mumbai-400013

  • Telephone Number

    022-67519100

  • Fax Number

    022-66490622/66490627

Fund Details

  • Scheme Type

    Daily - Dividend

  • Category

    Liquid Funds

  • Launch Date

    2012-12-31

  • Fund Type

    Open-Ended

  • Fund Manager

    Pallab Roy

  • Min. Investment (One Time)

    1000

  • Min. Investment (SIP)

    500

  • AMFI Code

    118507

  • ISIN Code

    INF090I01LL9