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(15/04/2025) 42.3245
Percentage Returns :
1 Month Ago : -1.72%
3 Months Ago : -16.21%
1 Year Ago : -9.84%
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NAV DateRepurcahse ()Sale ()Amount ()
15/04/202542.3242.3242.32
11/04/202541.5841.5841.58
09/04/202541.3041.3041.30
08/04/202541.2641.2641.26
07/04/202540.5740.5740.57
04/04/202541.5241.5241.52
03/04/202542.7542.7542.75
02/04/202543.9743.9743.97
01/04/202543.4043.4043.40
31/03/202543.9443.9443.94
28/03/202543.9743.9743.97
27/03/202544.6544.6544.65
26/03/202544.5244.5244.52
25/03/202545.0545.0545.05
24/03/202544.9944.9944.99
21/03/202544.6444.6444.64
20/03/202544.5344.5344.53
19/03/202543.9943.9943.99
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