Fund Performance
Lumpsum
SIP
10.10
as on 27 Jan 20233 Years
Investment of ₹ 10,000 in this fund 3 Years back would be ₹ 13,350 today.
NAV Performance

Fund Information
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₹ 114.038
as on 27 Jan 2023 -
Regular - Growth
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7 / 48
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₹ 5,000
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₹ 1,129 Cr.
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1.01%
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31 Oct 2003
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Nifty 50
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Franklin Templeton Mutual Fund
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Highlights of this fund
Franklin India Dynamic Asset Allocation Fund Of Funds is an Open-ended Others Fund. The fund belongs to Fund of Funds category, where the investment is done in predominantly in stocks that are listed on Stock Exchanges like the Bombay Stock Exchange (BSE) or the National Stock Exchange (NSE) in India as well as Global stock exchanges like the Dow Jones, London Stock Exchange or LSE etc. This fund was started on 31 Oct 2003. This fund is offered by one of the top AMC (Assets Management Company) Franklin Templeton Mutual Fund. You can also view here all other Others funds offered by Franklin Templeton Mutual Fund.
Latest NAV of the fund is ₹ 114.038 as on 27 Jan 2023.
This fund has 19 years of track record. Since 30 Nov 2021 expense ratio of this fund is 1.01%. Ideally you shoulds compare this fund with the benchmark Nifty 50.
You can invest in this fund in SIP with the minimum investment of ₹ 500. Lumpsum invest is offered with minimum investment of ₹ 5,000.
Fund Objective
To provide long-term capital appreciation with relatively lower volatility through a dynamically balanced portfolio of equity and income funds. The equity allocation (i.e. the allocation to the diversified equity fund) will be determined based on the month-end weighted average P/E and P/B ratios of the Nifty 500 Index.
List of Fund Managers of Franklin India Dynamic Asset Allocation Fund Of Funds
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About Paul Parampreet
Mr. Parampreet is PGDM from IIM Calcutta and B.Tech from IIT Kharagpur. Prior to joining Franklin Templeton Mutual Fund he has worked with Edelweiss AMC, Edelweiss Securities Ltd., SDG India Pvt. Ltd., ICICI Bank and with BG India Pvt. Ltd.
Riskometer : Risk associated with this fund
Investors understand that their principal will be at Moderately High Risk
Fund Return Comparison
Fund Name | 1 Month | 3 Months | 6 Months | 1 Year | 2 Years | 3 Years | 5 Years | 10 Years | 1 Year | 2 Years | 3 Years | 5 Years | 10 Years |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Category Best | 10.74% | 31.35% | 39.77% | 20.84% | 31.78% | 27.48% | 15.63% | 14.65% | 39.53% | 24.06% | 30.24% | 22.91% | 14.91% |
Category Average | -8.89% | -5.41% | -4.08% | -7.59% | 8.07% | 9.20% | 7.15% | 8.17% | 9.00% | 5.63% | 9.92% | 8.99% | 8.95% |
Franklin India Dynamic Asset Allocation Fund Of Funds | -1.81%₹ 9,819 | -1.10%₹ 9,889 | 4.96%₹ 10,496 | 5.18%₹ 10,518 | 6.34%₹ 12,409 | 18.42%₹ 14,022 | 10.66%₹ 26,717 | 10.10%₹ 13,350 | 16.20%₹ 45,767 | 7.65%₹ 14,465 | 11.13%₹ 79,395 | 9.38%₹ 24,532 | 9.58%₹ 1,97,100 |
DSP World Mining Fund | 10.26%₹ 11,025 | 27.03%₹ 12,702 | 39.77%₹ 13,977 | 20.84%₹ 12,083 | 39.53%₹ 14,444 | 22.39%₹ 14,978 | 23.30%₹ 30,074 | 27.48%₹ 20,728 | 27.27%₹ 53,368 | 15.63%₹ 20,691 | 22.91%₹ 1,05,952 | 5.81%₹ 17,598 | 14.77%₹ 2,60,011 |
ICICI Prudential Thematic Advantage Fund (FoF) | -0.95%₹ 9,904 | 1.53%₹ 10,152 | 5.66%₹ 10,565 | 4.67%₹ 10,466 | 8.63%₹ 12,555 | 23.29%₹ 15,208 | 10.82%₹ 26,762 | 22.72%₹ 18,493 | 23.01%₹ 50,353 | 14.28%₹ 19,496 | 19.09%₹ 96,595 | 13.25%₹ 34,714 | 14.91%₹ 2,61,934 |
Kotak Equity Fof | -0.82%₹ 9,917 | 3.69%₹ 10,368 | 10.92%₹ 11,091 | 11.86%₹ 11,185 | 16.55%₹ 13,052 | 16.67%₹ 13,611 | 13.81%₹ 27,540 | 18.79%₹ 16,771 | 18.54%₹ 47,307 | 14.54%₹ 19,738 | 17.27%₹ 92,381 | 14.24%₹ 37,930 | 14.71%₹ 2,59,106 |
ICICI Prudential Bharat 22 - Fof | -1.35%₹ 9,864 | 1.41%₹ 10,141 | 12.07%₹ 11,207 | 19.04%₹ 11,903 | 20.96%₹ 13,325 | 31.78%₹ 17,380 | 24.06%₹ 30,283 | 18.43%₹ 16,617 | 30.24%₹ 55,544 | - | - | - | - |
DSP Us Flexible Equity Fund | 5.58%₹ 10,558 | 6.94%₹ 10,694 | 5.48%₹ 10,547 | 4.30%₹ 10,430 | 10.45%₹ 12,670 | 10.42%₹ 12,192 | 6.01%₹ 25,519 | 14.92%₹ 15,184 | 12.06%₹ 43,121 | 12.65%₹ 18,155 | 13.64%₹ 84,493 | 14.65%₹ 39,314 | 13.39%₹ 2,41,424 |