Franklin Build India Fund(G)

The NAV of Franklin Build India Fund(G) is 41.25cr.

In the last 1 year, the funds NAV has depreciated by -1.88%.

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NAV Details

23 Feb 2018 NAV Load (%)
NAV 41.25
Repurchase Price 40.84 2.25
Sale Price 41.25

NAV Return (%)

1 Week 1 Month 3 Months 6 Months 1 Year Inception More Info
NAV Growth -1.88 -7.34 -4.17 8.13 -1.88 18.16 View Factsheet

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