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Portfolio Allocation - Franklin India Technology Fund - Direct Plan
Fund |
Franklin TechnologDP (I) |
NAV (Apr 22nd, 2024) |
51.59 |
Class |
Equity - Sector Fund |
Type |
Open Ended |
Inception Date |
Jan 1st, 2013 |
Fund Manager |
Mr.R Janakiraman |
Fund |
Franklin TechnologDP (I) |
Initial Price |
10 |
Min.Inv.Amount |
5,000 |
Entry Load |
Nil% |
Exit Load |
1% |
Percentage Returns
Returns in % |
1 Week Ago |
1 Month Ago |
3 Months Ago |
6 Months Ago |
9 Months Ago |
1 Year Ago |
Franklin TechnologDP (I) |
0.11% |
0.44% |
3.83% |
13.97% |
22.68% |
47.79% |
Portfolio Allocation
Instrument |
Percentage |
Equity |
79.46% |
Foreign Securities |
9.25% |
International Mutual Fund Units |
7.10% |
Cash |
4.19% |
Industry |
Percentage |
It Consulting & Software |
39.91% |
E-commerce/e-retail |
11.43% |
Financial Technologies (fintech) |
10.58% |
Internet & Catalogue Retail |
7.47% |
Services - Others |
4.07% |
It Enabled Services |
2.07% |
Telecom Services |
1.99% |
Entertainment & Media |
1.80% |
Miscellaneous1 |
1.05% |
It Equipments & Peripherals |
0.71% |
Infotech/databases |
0.37% |