Fund Factsheet

Franklin India Opportunities Fund

257.8139 -0.5814 (-0.23%)
52 Weeks
258.40
(12 Sep 2024)
149.88
(26 Oct 2023)
Investment Info
Open Ended

Fund Type

3,744.02

Average Asset Size (₹ cr.)

Growth

Investment Plan

If redeemed bet. 0 Year to 1 Year; Exit Load is 1%

Exit Load

5000

Minimum Investment (₹)

21/02/2000

Launch Date

R Janakiraman,Sandeep Manam,Kiran Sebastian

Fund Manager

N.A

Last Dividend

Peer Performance
Fund Name AUM (₹ Cr) Return (%)
1M 3M 6M 1Y 3Y 5Y Since Inception
Franklin India Opportunities Fund 5,381.37 5.37 9.06 37.27 66.88 29.09 30.09 14.14
Invesco India PSU Equity Fund 1,593.41 -0.02 -0.21 25.56 70.59 35.82 30.81 13.57
ICICI Prudential PSU Equity Fund 2,627.96 -0.60 2.61 18.24 68.83 -- -- 46.78
Invesco India Infrastructure Fund 1,659.96 4.54 3.52 35.30 66.73 31.70 33.31 12.09
Canara Robeco Infrastructure Fund 886.99 3.65 4.34 38.69 64.44 31.45 31.47 16.1
Aditya Birla Sun Life PSU Equity Fund 5,945.60 0.37 0.65 17.16 64.28 38.64 -- 30.87
NAV Graph
Top 10 Holdings
Company Name Sector Name Asset %  
Cash Current Assets
10.30%
Bharti Airtel Ltd. Telecommunication
3.96%
Indus Towers Ltd. (Erstwhile Bharti Infratel Limited) Telecommunication
3.91%
ICICI Bank Ltd. Financial Services
3.87%
HDFC Bank Ltd. Financial Services
3.30%
Company Name Sector Name Asset %  
Reliance Industries Ltd. Oil, Gas & Consumable Fuels
3.14%
PB Fintech Ltd. Financial Services
2.75%
Sudarshan Chemical Industries Ltd. Chemicals
2.71%
Zensar Technologies Ltd. Information Technology
2.68%
Zomato Ltd. Consumer Services
2.59%
Statistical Analysis
Sharpe
Sortino
Standard Deviation
Beta
R-Square
Top 5 Sector Holding
Sector Name % Allocation  
Healthcare
15.39 %
Financial Services
12.31 %
Current Assets
10.30 %
Consumer Services
9.85 %
Capital Goods
8.31 %
AUM Movement
Asset Allocation