HOME
Customer Care
Contact Us
Procedure for Account Opening
About Us
Services
EQUITY
COMMODITIES
MUTUAL FUNDS
DERIVATIVES
CURRENCY
INSURANCE
IPOs
Margin
E-Voting
Pause
BSE Prices delayed by 5 minutes...
<< Prices as on Oct 05, 2026 - 9:07AM >>
ABB
7040
[2.71]
ACC
1185.15
[0.17]
AMBUJA CEM
361.4
[-0.44]
ASIAN PAINTS
2410
[0.16]
AXIS BANK
1235
[1.73]
BAJAJ AUTO
10000
[-0.69]
BANKOFBARODA
232
[0.11]
BHARTI AIRTE
1780
[2.24]
BHEL
422
[0.00]
BPCL
298.25
[-0.91]
BRITANIAINDS
4750
[-0.94]
CIPLA
1310.1
[-2.73]
COAL INDIA
422
[0.12]
COLGATEPALMO
1735
[0.00]
DABUR INDIA
378
[0.27]
DLF
662.6
[0.00]
DRREDDYSLAB
1230.3
[2.52]
GAIL
172.25
[0.85]
GRASIM INDS
2900
[-2.42]
HCLTECHNOLOG
1255
[0.72]
HDFC BANK
732
[1.76]
HEROMOTOCORP
5182
[0.17]
HIND.UNILEV
1833.1
[-0.43]
HINDALCO
942
[-0.25]
ICICI BANK
1312
[0.50]
INDIANHOTELS
716.15
[0.00]
INDUSINDBANK
886
[0.68]
INFOSYS
1054.95
[1.93]
ITC LTD
257
[0.00]
JINDALSTLPOW
1191
[8.37]
KOTAK BANK
423.95
[0.99]
L&T
3693.4
[0.21]
LUPIN
2095
[3.25]
MAH&MAH
2850
[-0.04]
MARUTI SUZUK
11400
[0.00]
MTNL
24.34
[-1.46]
NESTLE
1303.8
[0.00]
NIIT
84.49
[-0.72]
NMDC
75
[0.00]
NTPC
314.2
[-0.79]
ONGC
221.2
[-0.67]
PNB
109.9
[0.00]
POWER GRID
254
[-0.26]
RIL
1170
[0.34]
SBI
960
[0.63]
SESA GOA
254.4
[0.99]
SHIPPINGCORP
270
[1.07]
SUNPHRMINDS
1761.2
[-2.70]
TATA CHEM
604.25
[-0.60]
TATA GLOBAL
949
[0.00]
TATA MOTORS
281
[0.36]
TATA STEEL
180
[0.50]
TATAPOWERCOM
354.7
[1.34]
TCS
2100
[1.00]
TECH MAHINDR
1533
[-0.39]
ULTRATECHCEM
10751
[-0.44]
UNITED SPIRI
1331
[-0.54]
WIPRO
161.5
[1.25]
ZEETELEFILMS
72.45
[0.76]
Fund Profile
Scheme Profile
Scheme Snapshot
Scheme Performance
Category Performance
Performance Map
Portfolio Compare
MF Gainers
MF Losers
Historical NAV
Latest NAVs
Best Performers
Biggest Schemes
MF Activity
New Fund
Portfolio Allocation
Dividend Details
Fund Mobilization
Performance Compare
Category Rankings
Rolling Returns
MF Portfolio
MF News
MF Bonus
MF Disclosures
Search Scheme
NAV HISTORY
You can view the history of all NAV. Search for the scheme to get more details.
Franklin India Corporate Bond Fund - Plan A
Fund :
Franklin Templeton Mutual Fund
Category :
Debt - Income
Type :
Open Ended
NAV(
01/10/2026
)
106.8441
Percentage Returns :
1 Month Ago :
0.25%
3 Months Ago :
0.97%
1 Year Ago :
5.45%
Choose Option :
Growth
IDCW
IDCW-Reinvestment
2026
2025
2024
2023
2022
2026
Open :
102.86
Close :
106.84
Return(%) :
3.86
Month
NAV
Return
Open (Rs.)
Close (Rs.)
Percentage
January
102.8647
103.0275
0.15
February
102.9876
103.7208
0.71
March
103.7827
103.4834
-0.28
April
103.2760
104.2961
0.98
May
104.3612
104.3986
0.03
June
104.5025
105.7150
1.16
July
105.8127
106.1812
0.34
August
106.2477
106.5485
0.28
September
106.5696
106.7835
0.20
October
106.8441
106.8441
0.00
January
102.8647
103.0275
0.15
February
102.9876
103.7208
0.71
March
103.7827
103.4834
-0.28
April
103.2760
104.2961
0.98
May
104.3612
104.3986
0.03
June
104.5025
105.7150
1.16
July
105.8127
106.1812
0.34
August
106.2477
106.5485
0.28
September
106.5696
106.7835
0.20
October
106.8441
106.8441
0.00
January
102.8647
103.0275
0.15
February
102.9876
103.7208
0.71
March
103.7827
103.4834
-0.28
April
103.2760
104.2961
0.98
May
104.3612
104.3986
0.03
June
104.5025
105.7150
1.16
July
105.8127
106.1812
0.34
August
106.2477
106.5485
0.28
September
106.5696
106.7835
0.20
October
106.8441
106.8441
0.00
January
102.8647
103.0275
0.15
February
102.9876
103.7208
0.71
March
103.7827
103.4834
-0.28
April
103.2760
104.2961
0.98
May
104.3612
104.3986
0.03
June
104.5025
105.7150
1.16
July
105.8127
106.1812
0.34
August
106.2477
106.5485
0.28
September
106.5696
106.7835
0.20
October
106.8441
106.8441
0.00
January
102.8647
103.0275
0.15
February
102.9876
103.7208
0.71
March
103.7827
103.4834
-0.28
April
103.2760
104.2961
0.98
May
104.3612
104.3986
0.03
June
104.5025
105.7150
1.16
July
105.8127
106.1812
0.34
August
106.2477
106.5485
0.28
September
106.5696
106.7835
0.20
October
106.8441
106.8441
0.00