Franklin Templeton Mutual Fund
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Franklin India Multi Asset Allocation Fund - Direct Plan - Growth

Franklin Templeton Mutual Fund · Multi Asset Allocation · Direct · Growth

NAV · as of 11/09/2026

11.12

1D

-0.30%

1Y

-

Key stats

Expense ratio
0.42%
AUM
₹2.89 K Cr
Launched
31/07/2025
Fund manager
Pallab Roy; R. Janakiraman; Rohan Maru; Sandeep Manam; Rajasa Kakulavarapu
Portfolio turnover
0.30%
Risk
Very High Risk
Min lump-sum
₹5,000
Min SIP
₹500/mo
Fresh lump-sum
Accepted
Fresh SIP
Accepted

NAV history

Franklin India Multi Asset Allocation Fund - Direct Plan - Growth

11/08/2026 to 11/09/2026

O - H - L -

11.4511.1211/08/202611/09/2026
1W-1.06%
1M-2.81%
3M+2.02%
MAX+1.73%

Top holdings

80 disclosed
  • 1.

    Nippon India ETF Gold BeES

    12.39%
  • 2.

    HDFC Bank Ltd

    Financial Services

    4.05%
  • 3.

    State Bank of India

    Financial Services

    3.41%
  • 4.

    ICICI Bank Ltd

    Financial Services

    3.01%
  • 5.

    Reliance Industries Ltd

    Energy

    2.95%
  • 6.

    Nippon India Silver ETF

    2.60%
  • 7.

    Axis Bank Ltd

    Financial Services

    2.54%
  • 8.

    Larsen & Toubro Ltd

    Industrials

    2.25%
  • 9.

    Bharti Airtel Ltd

    Communication Services

    2.21%
  • 10.

    Mahindra & Mahindra Ltd

    Consumer Cyclical

    2.18%
  • 11.

    UltraTech Cement Ltd

    Basic Materials

    2.17%
  • 12.

    Eternal Ltd

    Consumer Cyclical

    2.15%
  • 13.

    HCL Technologies Ltd

    Technology

    2.04%
  • 14.

    Hindustan Aeronautics Ltd Ordinary Shares

    Industrials

    2.00%
  • 15.

    Poonawalla Fincorp Limited - NCD & Bonds - NCD & Bonds

    1.95%
  • 16.

    Apollo Hospitals Enterprise Ltd

    Healthcare

    1.84%
  • 17.

    Marico Ltd

    Consumer Defensive

    1.83%
  • 18.

    Titan Co Ltd

    Consumer Cyclical

    1.82%
  • 19.

    Bharti Telecom Limited - NCD & Bonds - NCD & Bonds

    1.82%
  • 20.

    LIC Housing Finance Ltd - NCD & Bonds - NCD & Bonds

    1.78%
  • 21.

    Cipla Ltd

    Healthcare

    1.76%
  • 22.

    Embassy Office Parks Reit - NCD & Bonds - NCD & Bonds

    1.74%
  • 23.

    Trent Ltd

    Consumer Cyclical

    1.60%
  • 24.

    Ashok Leyland Ltd

    Industrials

    1.58%
  • 25.

    Britannia Industries Ltd

    Consumer Defensive

    1.54%
  • 26.

    InterGlobe Aviation Ltd

    Industrials

    1.53%
  • 27.

    Tata Power Co Ltd

    Utilities

    1.43%
  • 28.

    Syrma SGS Technology Ltd

    Technology

    1.42%
  • 29.

    Exide Industries Ltd

    Consumer Cyclical

    1.40%
  • 30.

    PG Electroplast Ltd

    Technology

    1.40%
  • 31.

    Hindalco Industries Ltd

    Basic Materials

    1.33%
  • 32.

    Infosys Ltd

    Technology

    1.33%
  • 33.

    Bajaj Finance Limited - NCD & Bonds - NCD & Bonds

    1.27%
  • 34.

    Tata Steel Ltd

    Basic Materials

    1.24%
  • 35.

    Data Patterns (India) Ltd

    Industrials

    1.19%
  • 36.

    Tata Capital Ltd

    Financial Services

    1.19%
  • 37.

    Eris Lifesciences Ltd Registered Shs

    Healthcare

    1.15%
  • 38.

    Hindustan Unilever Ltd

    Consumer Defensive

    1.07%
  • 39.

    CESC Ltd

    Utilities

    1.06%
  • 40.

    PB Fintech Ltd

    Financial Services

    1.00%
  • 41.

    Oil & Natural Gas Corp Ltd

    Energy

    0.94%
  • 42.

    Pine Labs Ltd

    Technology

    0.92%
  • 43.

    Chalet Hotels Ltd

    Consumer Cyclical

    0.90%
  • 44.

    RJ Corp Limited - NCD & Bonds - NCD & Bonds

    0.89%
  • 45.

    LIC Housing Finance Ltd - NCD & Bonds - NCD & Bonds

    0.89%
  • 46.

    ZF Commercial Vehicle Control Systems India Ltd

    Consumer Cyclical

    0.89%
  • 47.

    Knowledge Realty Trust Units

    Real Estate

    0.87%
  • 48.

    Bharat Petroleum Corp Ltd

    Energy

    0.86%
  • 49.

    360 One Wam Ltd Ordinary Shares

    Financial Services

    0.84%
  • 50.

    Medplus Health Services Ltd

    Healthcare

    0.82%
  • 51.

    Call, Cash & Other Assets

    0.80%
  • 52.

    GAIL (India) Ltd

    Utilities

    0.79%
  • 53.

    GE Vernova T&D India Ltd

    Industrials

    0.73%
  • 54.

    LIC Housing Finance Ltd - NCD & Bonds - NCD & Bonds

    0.70%
  • 55.

    India (Republic of)

    0.69%
  • 56.

    India (Republic of)

    0.51%
  • 57.

    National Bank for Agriculture and Rural Development

    0.50%
  • 58.

    Prestige Estates Projects Ltd

    Real Estate

    0.46%
  • 59.

    Crompton Greaves Consumer Electricals Ltd

    Consumer Cyclical

    0.43%
  • 60.

    Mahindra And Mahindra Financial Services Limited - Commercial Paper - Commercial Paper

    0.33%
  • 61.

    Metropolis Healthcare Ltd

    Healthcare

    0.33%
  • 62.

    Kansai Nerolac Paints Ltd

    Basic Materials

    0.21%
  • 63.

    Syngene International Ltd

    Healthcare

    0.20%
  • 64.

    HDFC Bank Ltd. - NCD & Bonds - NCD & Bonds

    0.17%
  • 65.

    Margin On Derivatives

    0.10%
  • 66.

    6.9% Govt Stock 2065

    0.08%
  • 67.

    Mahindra & Mahindra Ltd

    0.01%
  • 68.

    State Bank Of India

    0.01%
  • 69.

    Larsen & Toubro Ltd

    0.01%
  • 70.

    Bharti Airtel Ltd

    0.01%
  • 71.

    Hindalco Industries Ltd

    0.01%
  • 72.

    Apollo Hospitals Enterprise Ltd

    0.01%
  • 73.

    Ultratech Cement Ltd

    0.00%
  • 74.

    Eternal Ltd

    0.00%
  • 75.

    Trent Ltd

    0.00%
  • 76.

    Oil & Natural Gas Corporation Ltd

    0.00%
  • 77.

    Titan Co Ltd

    0.00%
  • 78.

    PI Industries Ltd

    -
  • 79.

    JM Financial Services Limited - Commercial Paper - Commercial Paper

    -
  • 80.

    Bank Of Baroda

    -

Sector allocation

  • Unclassified29.27%
  • Financial Services16.04%
  • Consumer Cyclical11.37%
  • Industrials9.28%
  • Technology7.11%
  • Healthcare6.10%
  • Basic Materials4.95%
  • Energy4.74%
  • Consumer Defensive4.45%
  • Utilities3.27%
  • Communication Services2.21%
  • Real Estate1.33%

Comparable peers

  • Quant Multi Asset Allocation Growth Direct Plan

    Quant Multi Asset Allocation (G) · ₹6.36 K Cr AUM

    1Y+18.36%
    3Y+21.69%
    -
  • Nippon India Multi Asset Allocation Growth Direct Plan

    Nippon India Multi Asset Allocation (G) · ₹16.93 K Cr AUM

    1Y+13.77%
    3Y+18.84%
    -
  • Aditya Birla Sun Life Multi Asset Allocation Growth Direct Plan

    ABSL Multi Asset Allocation (G) · ₹7.28 K Cr AUM

    1Y+13.50%
    3Y+15.98%
    -
  • Whiteoak Capital Multi Asset Allocation Growth Direct Plan

    Whiteoak Capital Multi Asset Allocation (G) · ₹8.19 K Cr AUM

    1Y+12.82%
    3Y+16.90%
    -
  • Franklin India Multi Asset Allocation Growth Direct Plan

    Franklin Multi Asset Allocation (G) · ₹2.89 K Cr AUM

    1Y+10.21%
    3Y0.00%
    -

Investment objective

The objective of the scheme is to generate long term capital appreciation by investing in equity and equity related instruments, debt & money market instruments and commodities. However, there is no assurance that the investment objective of the scheme will be realized.

Scheme details

Scheme code
153731
Fund house
Franklin Templeton Mutual Fund
Category
Open Ended
Type
Hybrid Scheme
Sub-category
Multi Asset Allocation
Plan
Direct
Return type
Growth
ISIN (Growth)
INF090I01YH0
ISIN (Div. Reinvest)
-
Tradable on exchange
No

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