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Franklin Templeton Mutual Fund NAV May 10, 2022: Franklin Templeton Mutual Fund Net Asset Value Price Scheme Investment Interest Rate Details

Franklin Templeton Mutual Fund NAV, May 10, 2022: Check the Net Asset Value, Scheme Details of Franklin Templeton Mutual Fund Fund for May 10, 2022

Franklin Templeton Mutual Fund NAV -May 10, 2022: ABP LIVE Business, brings to you daily updates related to the top mutual funds, profit and loss statements, scheme details, new fund offerings, top gainers & losers and exclusive details to help you make your next move on the investments. The current NAV rate of the mutual fund is 4900.5491 as compared to the previous NAV of ₹ 4900.1491. This mutual fund is categorized under large cap fund. Launched on June 30, 2014, the annual return (1 Year) of Franklin Templeton Mutual Fund has been 12%. The AUM of this fund is 100538 Cr as on May 10, 2022 and holds NET Assets of 40 Crores.

Franklin Templeton Mutual Fund Scheme

SN.Scheme NameScheme CategoryCurrent NAV
1BNP Paribas Liquid Fund - Direct - GrowthLIQUID3271.5995
2BNP Paribas Liquid Fund - GrowthLIQUID3242.0977
3BNP Paribas Liquid Fund - Regular - GrowthLIQUID3063.4147
4Baroda Liquid Fund - Regular - GrowthLIQUID3570.4368
5Baroda Liquid Fund - Regular - IDCWLIQUID3059.0432
6Canara Robeco Gold Exchange Traded FundGOLD ETFS3539.7896
7Canara Robeco Liquid- INSTITUTIONAL-GrowthLIQUID2853.2956
8Canara Robeco Liquid-Retail-GrowthLIQUID2769.6413
9Canara Robeco Ultra Short Term Fund - Direct Plan - GrowthINCOME3276.6606
10Canara Robeco Ultra Short Term Fund - Regular - GrowthINCOME3134.1166
11DSP Liquidity Fund - Direct - GrowthLIQUID3053.8128
12DSP Liquidity Fund - Regular - GrowthLIQUID3028.4731
13Edelweiss ETF - Nifty 50OTHERS ETFS19255.9519
14Edelweiss ETF - Nifty BankOTHERS ETFS3493.4172
15Edelweiss Liquid Fund - Direct - Annual IDCWLIQUID2756.307
16Edelweiss Liquid Fund - IDCWLIQUID2717.5915
17Franklin India Liquid Fund - Direct - GrowthLIQUID3210.2002
18Franklin India Liquid Fund - Institutional GrowthLIQUID3040.6665
19Franklin India Liquid Fund - Regular Plan - GrowthLIQUID4900.5491
20Franklin India Liquid Fund - Super Institutional GrowthLIQUID3191.0245
21Franklin India SHORT TERM INCOME PLAN - Direct - GROWTHINCOME4673.7431
22Franklin India Short-Term Income Plan-GrowthINCOME4656.3274
23Franklin India Short-Term Income Plan-Institutional Plan - GrowthINCOME3851.5328
24HDFC Liquid Fund -Direct Plan - Growth OptionLIQUID4198.9428
25HDFC Liquid Fund-GROWTHLIQUID4165.4295
26HDFC Liquid Fund-PREMIUM- GrowthLIQUID3764.8175
27HDFC Money Market Fund - Direct - GrowthLIQUID4661.6695
28HDFC Money Market Fund - GrowthLIQUID4596.381
29HDFC Overnight Fund - Direct - GrowthLIQUID3169.8522
30HDFC Overnight Fund - GrowthLIQUID3147.9553
31HSBC Cash Fund - Institutional Plan - GrowthLIQUID2775.0401
32IDBI Gold Exchange Traded FundGOLD ETFS4722.849
33IDFC Cash Fund - Plan B (G) (Institutional Plan)LIQUID2792.3769
34IDFC Cash Fund-Paln A-GrowthLIQUID2754.15
35Invesco India Gold Exchange Traded FundGOLD ETFS4606.53
36Invesco India Liquid Fund - Bonus OptionLIQUID2917.7978
37Invesco India Liquid Fund - Direct Plan - GrowthLIQUID2933.7258
38Invesco India Liquid Fund - GrowthLIQUID2915.018
39Invesco India Short Term Fund - GrowthINCOME2895.2947
40Invesco India Short Term Fund - Plan B - GrowthINCOME2885.2173
41Invesco India Treasury Advantage Fund - Annual BonusINCOME2738.2349
42Invesco India Treasury Advantage Fund - Direct - IDCWINCOME3171.4573
43Invesco India Treasury Advantage Fund - GrowthINCOME3069.0823
44Invesco India Treasury Advantage Fund - IDCWINCOME3141.0341
45Invesco India Treasury Advantage Fund - Regular - GrowthINCOME2786.8541
46Kotak Corporate Bond Fund- Direct Plan- Growth OptionINCOME3107.0874
47Kotak Corporate Bond Fund- Standard Plan-Growth OptionINCOME3007.647
48Kotak Liquid Fund - Direct - GrowthLIQUID4318.0645
49Kotak Liquid Fund - GrowthLIQUID4293.3138
50Kotak Liquid-Institutional Plan (Growth)LIQUID3046.6062
51Kotak Low Duration Fund- Direct Plan- Growth OptionINCOME2893.9494
52Kotak Low Duration Fund- Standard Plan-Growth OptionINCOME2718.7978
53Kotak Money Market Fund - Direct - GrowthLIQUID3628.0616
54Kotak Money Market Fund - GrowthLIQUID3607.5128
55L&T Liquid Fund - Direct Plan -GrowthLIQUID2925.7673
56L&T Liquid Fund-Cum -Institutional PlusLIQUID2881.1854
57L&T Liquid Fund-Regular CumulativeLIQUID3025.2376
58LIC MF Liquid Fund - Direct - GrowthLIQUID3880.2808
59LIC MF Liquid Fund - GrowthLIQUID3838.9937
60Principal Credit Risk Fund - Direct - GrowthINCOME3231.0113
61Principal Credit Risk Fund - GrowthINCOME3105.3182
62Principal Low Duration Fund - Direct Plan - Growth OptionINCOME2927.2173
63Principal Low Duration Fund - Growth OptionINCOME2801.5636
64SBI Liquid Fund - Direct - GrowthLIQUID3344.4276
65SBI Liquid Fund - GrowthLIQUID3321.65
66SBI Liquid Fund - Institutional GrowthLIQUID3353.0432
67SBI Magnum Low Duration Fund - Direct - GrowthINCOME2907.2442
68SBI Magnum Low Duration Fund - Regular - GrowthINCOME2843.3615
69SBI Overnight Fund - Direct - GrowthLIQUID3475.0751
70SBI Overnight Fund - GrowthLIQUID3438.5615
71SBI Short Horizon Debt Fund - Ultra Short Term Fund - Institutional Plan - GrowthINCOME2893.4535
72SBI Ultra Short Duration Fund - Direct - GrowthLIQUID4898.4369
73SBI Ultra Short Duration Fund - GrowthLIQUID4846.0402
74Sahara Liquid Fund-Fixed Pricing - Direct -Growth optionLIQUID3024.287
75Sahara Liquid Fund-Fixed Pricing - Growth optionLIQUID3264.2408
76Sahara Liquid Fund-Variable Pricing - Growth optionLIQUID3340.7393
77Sahara Liquid Fund-Variable Pricing -Direct - Growth optionLIQUID3348.2894
78Sundaram Low Duration Fund (Formerly Known as Principal Low Duration Fund) - Direct Plan - Growth OptionDEBT2964.1343
79Sundaram Low Duration Fund (Formerly Known as Principal Low Duration Fund)- Growth OptionDEBT2830.4635
80Tata Liquid Fund - Direct - GrowthMONEY MARKET3371.7156
81Tata Liquid Retail Investment Plan - GrowthLIQUID3672.385
82Tata Money Market Fund - Direct - GrowthLIQUID3829.3995
83Tata Money Market Fund - Regular - GrowthLIQUID3789.0395
84Tata Treasury Advantage Fund - Direct - GrowthINCOME3245.2083
85Tata Treasury Advantage Fund - Plan A - GrowthINCOME3189.5105
86Taurus Short Term Income Fund-Direct Plan-Growth OptionINCOME2804.833
87Taurus Short Term Income Fund-Growth OptionINCOME2773.0696
88UTI - Liquid Fund - Cash Plan - Direct - GrowthLIQUID3500.4517
89UTI - Liquid Fund - Cash Plan - Discontinued - Regular Plan  - GrowthLIQUID3197.6831
90UTI - Liquid Fund - Cash Plan - GrowthLIQUID3478.706
91UTI - Money Market Fund - Discontinued - Regular Plan - Flexi IDCW OptionMONEY MARKET3119.3108
92UTI - Money Market Fund - Discontinued - Regular Plan - GrowthMONEY MARKET5780.8367
93UTI - Treasury Advantage Fund - Discontinued - Annual IDCWINCOME2743.554
94UTI - Treasury Advantage Fund - Discontinued -  BonusINCOME3403.6098
95UTI - Treasury Advantage Fund - Discontinued -  GrowthINCOME5105.9969
96UTI - Treasury Advantage Fund - Institutional-GrowthINCOME2855.1498
97UTI - Treasury Advantage Fund - Institutional-Growth- DirectINCOME2891.5913
98UTI Overnight Fund - Direct - GrowthGILT2921.5982
99UTI Ultra Short Term Fund - GrowthFLOATING RATE3463.1939
100UTI Ultra Short Term Fund -  Direct - GrowthFLOATING RATE3651.1004

 

What is NAV?

The performance of a particular mutual fund scheme is shown through the Net Asset Value (NAV). In simple words, NAV is the market value of the securities held by the scheme. Mutual funds invest money collected from investors in securities markets. Since the market price of securities changes every day, the NAV of a scheme also varies from day to day.

The NAV per unit is the market value of the securities of a scheme divided by the total number of units of the scheme on a particular date. As per SEBI Mutual Fund Regulations, the NAV of all mutual fund schemes is declared at the end of the trading day after the market closes.

 

 

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