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Franklin Templeton · Hybrid Scheme - Multi Asset Allocation

Franklin India Multi Asset Allocation Fund- Direct- IDCW

NAV: 10.91as of 03 Jun 2026

As of Wednesday, 3 June 2026, the price of Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV in India is ₹10.91 per unit.

Scheme details

Scheme code
153732
Type
Open Ended Schemes
Category
Hybrid Scheme - Multi Asset Allocation
ISIN (Growth)
INF090I01YJ6

30-day NAV history

DateNAV (₹)
03 Jun 202610.91
02 Jun 202610.93
01 Jun 202610.88
29 May 202610.96
27 May 202611.06
26 May 202611.05
25 May 202611.08
22 May 202610.98

Franklin India Multi Asset Allocation Fund- Direct- IDCW — FAQs

What is the current Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India?+

As of Wednesday, 3 June 2026, the price of Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV in India is ₹10.91 per unit.

What was the Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India yesterday?+

The previous Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India was ₹10.93 per unit. Today's rate is lower than that — ₹0.02 less than before.

What is the lowest Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India recently?+

The lowest recorded Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India in the recent period is ₹10.88 per unit.

What is the highest Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India recently?+

The highest recorded Franklin India Multi Asset Allocation Fund- Direct- IDCW NAV price in India in the recent period is ₹11.08 per unit.