Franklin India Corporate Bond Fund NAV Falls 0.23% to 19.0674

By Market DeskFranklin India Corporate Bond Fund NAV Falls 0.23% to 19.0674

Franklin India Corporate Bond Fund’s Direct Plan NAV decreased by 0.23% to 19.0674 on May 7, 2015. Explore fund performance and asset allocation insights.

The Franklin India Corporate Bond Fund – Direct Plan registered a Net Asset Value (NAV) of 19.0674 as of May 7, 2015. This figure represents a slight decrease of 0.23% for the direct plan.

Investors can access comprehensive analytical tools for the fund, which detail its performance and underlying assets. These resources provide a granular view into the fund’s structure and historical movements.

Asset Allocation Insights

The fund offers detailed asset allocation history, broken down across various timeframes. This includes monthly, quarterly, and yearly analyses to track investment shifts.

Concentration Metrics

A thorough concentration analysis reveals the fund’s specific holdings. This includes the total number of holdings, identifying the top 5 and top 10 company exposures, and highlighting the single company with the highest allocation.

Sector-wise, the analysis details the number of sectors the fund invests in. It also pinpoints the top 3 and top 5 sector holdings, alongside the sector exhibiting the highest overall exposure within the portfolio.

Beyond these specifics, the platform provides quick links to broader mutual fund data, including equity mutual fund inflow statistics and guides for investment. Users can also manage their portfolios, track transactions, and explore other mutual fund options alphabetically.

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