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Summary Info
Fund Name Franklin Templeton Mutual Fund
Scheme Name Franklin India Liquid Fund - Inst (IDCW-W)
AMC Franklin Templeton Mutual Fund
Type Open
Category Liquid Funds
Launch Date 22-Jun-04
Fund Manager Pallab Roy
Net Assets ()Cr 3,727.30
NAV Graph
  One Month   Three Month   Six Month   One Year   Three Year   Five Year   Since INC
Latest Payouts
Dividends Bonus
Ratio 0.13230.0000 0.0
Date 19-Apr-26 0.0
Performance(%)
1 Week[%] 1 Month[%] 3 Month[%] 6 Month[%] 1 Year[%] 3 Year[%] 5 Year[%] Since INC[%]
Scheme Return 0.08 0.71 1.59 2.94 5.84 6.52 5.58 6.62
Category Avg 0.07 0.59 1.42 2.75 5.65 6.28 5.68 32.30
Category Best 1.78 4.52 5.54 7.69 55.88 21.75 14.59 10,434.62
Category Worst -4.49 -3.91 -12.67 -18.69 -16.22 -3.87 -0.63 -0.03
Holdings
Company Name No of Shares Market Value Hold %
REC Ltd 2,500 26.55 0.71
GSEC2026 7,500,000 77.61 2.08
TBILL-91D 8,206,800 81.46 2.19
TBILL-364D 200,000 1.99 0.05
N A B A R D 8,500 421.75 11.32
E X I M Bank 6,000 297.60 7.98
Aditya Birla Cap 4,000 198.27 5.32
Bajaj Fin.Sec 3,000 148.57 3.99
Can Fin Homes 2,000 99.23 2.66
Bajaj Finance 2,000 98.54 2.64
Stan.Chart.Secu. 1,500 74.31 1.99
Infina Finance 1,500 74.30 1.99
Sharekhan 1,500 74.27 1.99
Cholaman.Inv.&Fn 1,400 69.56 1.87
ICICI Securities 1,000 49.58 1.33
Adit.Birla Money 500 24.94 0.67
HDFC Securities 500 24.89 0.67
S I D B I 500 24.73 0.66
Net CA & Others 0 386.53 10.37
Union Bank (I) 7,000 347.90 9.33
Bank of Baroda 6,500 322.70 8.66
Canara Bank 6,000 297.71 7.99
HDFC Bank 4,500 223.31 5.99
Axis Bank 3,000 149.10 4.00
S I D B I 2,500 124.34 3.34
CDMDF (Class A2) 6,427 7.54 0.20