Vogue Commercial Co. Ltd

NAV HISTORY

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Franklin India Technology Fund


Fund : Franklin Templeton Mutual Fund
Category : Equity - Sector Fund
Type : Open Ended
NAV(11/04/2025) 444.5320
Percentage Returns :
1 Month Ago : -6.38%
3 Months Ago : -18.77%
1 Year Ago : -5.8%
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NAV DateRepurcahse ()Sale ()Amount ()
11/04/2025444.53444.53444.53
09/04/2025441.62441.62441.62
08/04/2025441.11441.11441.11
07/04/2025433.75433.75433.75
04/04/2025443.97443.97443.97
03/04/2025457.10457.10457.10
02/04/2025470.16470.16470.16
01/04/2025464.02464.02464.02
31/03/2025469.81469.81469.81
28/03/2025470.09470.09470.09
27/03/2025477.35477.35477.35
26/03/2025476.05476.05476.05
25/03/2025481.67481.67481.67
24/03/2025480.99480.99480.99
21/03/2025477.28477.28477.28
20/03/2025476.14476.14476.14
19/03/2025470.34470.34470.34
18/03/2025468.72468.72468.72
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