Franklin India Corporate Debt Fund - Dividend - Regular Plan

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  • Net Change on 19-01-2021

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Fund Overview Dividend | Regular Plan

  • Fund House

  • Launch Date

  • Benchmark

  • Minimum Investment (₹)

  • Minimum Addl Investment (₹)

  • Exit Load (%)

  • Minimum SIP Investment (₹)

  • Minimum STP Investment (₹)

  • Minimum SWP Investment (₹)

  • 52 Week Low Nav (₹)

  • 52 Week Low Nav Date

  • 52 Week High Nav (₹)

  • 52 Week High Nav Date

Fund Objective

The investment objective of the Scheme is primarily to provide investors Regular income and Capital appreciation.

Fund Performance

Scheme Name 1-Month Return (%) 3-Month Return (%) 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Since Inception
Franklin India Corporate Debt Fund - Monthly Dividend -0.64 5.19 7.05 6.52 6.36 7.82
Crisil 10 Yr Gilt Index N/A N/A N/A N/A N/A N/A
NIFTY Corporate Bond Index N/A N/A N/A N/A N/A N/A

Returns upto 1 year is Annualised, and above 1 year are Compounded Annualised

Peer Fund Comparison

Scheme Name Launch Date Ratings 1-Year Return (%) 3-Year Return (%) 5-Year Return (%) Expense Ratio (%) Assets (Cr.)
Franklin India Corporate Debt Fund - Monthly Dividend Jun 23, 1997 7.05 6.52 6.36 0.88 866.58
HDFC Corporate Bond Fund - Quarterly Dividend Option Jun 29, 2010 10.69 7.71 7.07 0.60 29,219.84
HDFC Corporate Bond Fund - Regular Option - Normal Dividend Option Oct 22, 2014 11.17 9.33 8.99 0.60 29,219.84
Aditya Birla Sun Life Corporate Bond Fund - Dividend - Regular Plan Oct 11, 2013 9.23 7.27 7.67 0.45 24,939.53
Aditya Birla Sun Life Corporate Bond Fund - Monthly Dividend - Regular Plan Feb 15, 2002 10.77 7.79 6.94 0.45 24,939.53
IDFC CBF_Regular Plan_Peiodic Dividend Jan 12, 2016 4.18 6.32 6.78 0.58 22,905.76

Fund Holdings as on 31-December-2020

  • Call, Cash & Other Assets

  • 8.62% Food Corporation Of India (22-Mar-2023) **

  • 8.45% Sikka Ports & Terminals Ltd (12-Jun-2023) **

  • 7.06% Housing Development Finance Corporation Ltd (13-Dec-2021) **

  • 8.60% ONGC Petro Additions Ltd (11-Mar-2022) **

  • 9.90% Coastal Gujarat Power Ltd (25-Aug-2028) **

  • 8.85% ONGC Petro Additions Ltd (19-Apr-2022) **

  • 7.44% Power Finance Corporation Ltd (11-Jun-2027) **

  • 6.99% REC Ltd (30-Sep-2024) **

  • 7.90% National Bank For Agriculture & Rural Development (18-Apr-2022) **

  • 7.09% REC Ltd (17-Oct-2022) **

  • 7.60% National Highways Authority Of India (18-Mar-2022) **

  • 6.19% Indian Railway Finance Corporation Ltd (28-Apr-2023) **

  • 5.80% National Housing Bank (15-May-2023) **

  • 7.32% GOI 2024 (28-Jan-2024)

  • 7.52% NHPC Ltd (06-Jun-2023) **

  • 7.00% Hindustan Petroleum Corporation Ltd (14-Aug-2024) **

  • 0.00% LIC Housing Finance Ltd (25-Feb-2022) **

  • 10.25% Sikka Ports & Terminals Ltd (22-Aug-2021) **

  • 7.17% National Highways Authority Of India (23-Dec-2021) **

  • 8.02% Export-Import Bank of India (29-Oct-2025) **

  • 10.25% Shriram Transport Finance Co Ltd (26-Apr-2024) **

  • 8.39% National Bank For Agriculture & Rural Development (19-Jul-2021)

  • 8.30% REC Ltd (10-Apr-2025) **

  • 7.42% Power Finance Corporation Ltd (19-Nov-2024) **

  • 6.98% Power Finance Corporation Ltd (20-Apr-2023) **

  • Bank of Baroda (09-Mar-2021) **

  • 8.60% National Bank For Agriculture & Rural Development (31-Jan-2022) **

  • 8.18% Power Finance Corporation Ltd (19-Mar-2022) **

  • 8.41% Housing & Urban Development Corporation Ltd (15-Mar-2029) **

  • 0.00% Fullerton India Credit Co Ltd (08-Apr-2021) **

  • 10.40% Sikka Ports & Terminals Ltd (18-Jul-2021) **

  • 9.25% Power Finance Corporation Ltd (25-Sep-2024) **

  • 364 DTB (25-Mar-2021)

  • 7.48% Bennett Coleman and Co Ltd (26-Apr-2021) **

  • 0.00% LIC Housing Finance Ltd (04-May-2022) **

  • 8.81% Small Industries Development Bank Of India (25-Jan-2022) **

  • 7.50% Power Finance Corporation Ltd (16-Aug-2021) **

  • 8.85% REC Ltd (16-Apr-2029) **

  • 8.85% Power Finance Corporation Ltd (25-May-2029) **

  • 8.40% Power Grid Corporation of India Ltd (14-Sep-2021) **

  • 0.00% HDB Financial Services Ltd (29-Oct-2021) **

  • 8.50% NHPC Ltd (14-Jul-2021) **

  • 0.00% Aditya Birla Finance Ltd (08-Apr-2022) **

  • 7.35% Bharat Petroleum Corporation Ltd (10-Mar-2022) **

  • 7.65% Indian Railway Finance Corporation Ltd (15-Mar-2021) **

  • 6.70% Indian Railway Finance Corporation Ltd (24-Nov-2021) **

  • 9.57% Indian Railway Finance Corporation Ltd (31-May-2021) **

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  • Miscellaneous

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Fund Manager

  • Education:B.Com(Hons)PGDM (IIM, lucknow), C.F.A(USA)
  • Experience:3 Year
  • Basic Details:Mr. Santosh Kamath is responsible for Overseeing Fixed Income Fund management
  • Funds Managed:
  • Franklin India Corporate Debt Fund

Most Recent Dividend

  • 21/12/2020

  • 23/11/2020

  • 26/10/2020

  • 21/09/2020

  • 24/08/2020

  • 27/07/2020

  • 22/06/2020

  • 26/05/2020

  • 20/04/2020

  • 23/03/2020

  • 24/02/2020

  • 27/01/2020

  • 23/12/2019

  • 25/11/2019

  • 22/10/2019

  • 23/09/2019

  • 26/08/2019

  • 22/07/2019

  • 24/06/2019

  • 27/05/2019

  • 22/04/2019

  • 25/03/2019

  • 18/02/2019

  • 21/01/2019

  • 24/12/2018

  • 26/11/2018

  • 22/10/2018

  • 24/09/2018

  • 27/08/2018

  • 23/07/2018

  • 18/06/2018

  • 21/05/2018

  • 23/04/2018

  • 19/03/2018

  • 20/02/2018

  • 22/01/2018

  • 18/12/2017

  • 20/11/2017

  • 30/10/2017

  • 21/08/2017

  • 24/07/2017

  • 19/06/2017

  • 22/05/2017

  • 24/04/2017

  • 20/03/2017

  • 20/02/2017

  • 23/01/2017

  • 19/12/2016

  • 21/11/2016

  • 24/10/2016

  • 19/09/2016

  • 22/08/2016

  • 25/07/2016

  • 20/06/2016

  • 23/05/2016

  • 25/04/2016

  • 21/03/2016

  • 22/02/2016

  • 18/01/2016

  • 21/12/2015

  • 23/11/2015

  • 19/10/2015

  • 21/09/2015

  • 24/08/2015

  • 20/07/2015

  • 22/06/2015

  • 18/05/2015

  • 20/04/2015

  • 23/03/2015

  • 23/02/2015

  • 19/01/2015

  • 22/12/2014

  • 24/11/2014

  • 20/10/2014

  • 22/09/2014

  • 25/08/2014

  • 21/07/2014

  • 23/06/2014

  • 19/05/2014

  • 21/04/2014

  • 24/03/2014

  • 24/02/2014

  • 03/02/2014

  • 30/12/2013

  • 02/12/2013

  • 28/10/2013

  • 30/09/2013

  • 03/09/2013

  • 29/07/2013

  • 02/07/2013

  • 27/05/2013

  • 29/04/2013

  • 18/03/2013

  • 25/02/2013

  • 28/01/2013

  • 02/03/2010

  • 01/02/2010

  • 29/12/2009

  • 30/11/2009

  • 03/11/2009

  • 29/09/2009

  • 31/08/2009

  • 03/08/2009

  • 29/06/2009

  • 01/06/2009

  • 27/04/2009

  • 30/03/2009

  • 02/03/2009

  • 02/02/2009

  • 29/12/2008

  • 01/12/2008

  • 31/10/2008

  • 29/09/2008

  • 01/09/2008

  • 28/07/2008

  • 30/06/2008

  • 02/06/2008

  • 28/01/2008

  • 31/12/2007

  • 03/12/2007

  • 29/10/2007

  • 01/10/2007

  • 03/09/2007

  • 30/07/2007

  • 03/07/2007

  • 28/05/2007

  • 30/04/2007

  • 30/03/2007

  • 26/02/2007

  • 29/01/2007

  • 02/01/2007

  • 27/11/2006

  • 30/10/2006

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  • 28/08/2006

  • 31/07/2006

  • 03/07/2006

  • 29/05/2006

  • 02/05/2006

  • 31/03/2006

  • 27/02/2006

  • 30/01/2006

  • 02/01/2006

  • 28/11/2005

  • 31/10/2005

  • 03/10/2005

  • 29/08/2005

  • 01/08/2005

  • 27/06/2005

  • 30/05/2005

  • 02/05/2005

  • 28/03/2005

  • 28/02/2005

  • 31/01/2005

  • 03/01/2005

  • 29/11/2004

  • 01/11/2004

  • 27/09/2004

  • 30/08/2004

  • 02/08/2004

  • 28/06/2004

  • 31/05/2004

  • 03/05/2004

  • 29/03/2004

  • 01/03/2004

  • 30/01/2004

  • 29/12/2003

  • 01/12/2003

  • 03/11/2003

  • 29/09/2003

  • 01/09/2003

  • 28/07/2003

  • 30/06/2003

  • 02/06/2003

  • 28/04/2003

  • 28/03/2003

  • 03/03/2003

  • 03/02/2003

  • 30/12/2002

  • 02/12/2002

  • 28/10/2002

  • 30/09/2002

  • 03/09/2002

  • 05/08/2002

  • 27/05/2002

  • 26/03/2002

  • 25/02/2002

  • 28/01/2002

  • 26/12/2001

  • 03/12/2001

  • 24/10/2001

  • 24/09/2001

  • 27/08/2001

  • 01/08/2001

  • 02/07/2001

  • 01/06/2001

  • 02/05/2001

  • 02/04/2001

  • 01/03/2001

  • 01/02/2001

  • 01/01/2001

  • 01/12/2000

  • 01/11/2000

  • 03/10/2000

  • 04/09/2000

  • 01/08/2000

  • 10/07/2000

  • 29/05/2000

  • 02/05/2000

  • 30/03/2000

  • 01/03/2000

  • 01/02/2000

  • 01/12/1999

  • 01/11/1999

  • 01/10/1999

  • CARE AA(CE)

  • CARE AAA

  • CARE AAA(CE)

  • Cash

  • CRISIL A1+

  • CRISIL AA+

  • CRISIL AAA

  • ICRA AAA

  • ICRA AAA(CE)

  • Sov

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About Franklin India Corporate Debt Fund

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Scheme Analysis

Franklin India Corporate Debt Fund is a Debt - Corporate Bond Fund fund and belongs to Franklin Templeton Mutual Fund. It was launched on 23-Jun-1997 and currently has an AUM of ₹866.58 crore. Franklin India Corporate Debt Fund is benchmarked against Crisil 10 Yr Gilt Index as primary index and NIFTY Corporate Bond Index as secondary index.

The NAV of Franklin India Corporate Debt Fund ended up ₹0(0.01%)yesterday to ₹16.2266.

Among its top 3 holdings the fund has exposure to Call, Cash & Other Assets, and

The Franklin India Corporate Debt Fund is managed by Sachin Padwal-Desai and Umesh Sharma.

Fund House Contact

Indiabulls Finance Centre; Tower 2, 12th and 13th Floor; Senapati Bapat Marg; Elphinstone Road (W) Mumbai 400013

+91 (22) 67519100
service@templeton.com
+91 (22) 66490622 / 66490627