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Franklin India Multi - Asset Solution Fund

Franklin India Multi - Asset Solution Fund

Regular PlanGrowth Option

Fund Performance

Lumpsum

SIP

7.22

as on 28 Mar 2023

3 Years

Investment of ₹ 10,000 in this fund 3 Years back would be ₹ 12,327 today.

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NAV Performance

Franklin India Multi - Asset Solution Fund performance graph for last 3 years
Performance of Franklin India Multi - Asset Solution Fund for last 3 Years

Fund Information

  • ₹ 14.773

    as on 28 Mar 2023
  • Regular - Growth

  • -

  • ₹ 5,000

  • ₹ 51 Cr.

  • 1.31%

  • 28 Nov 2014

  • Others - Fund of Funds

  • Nifty 50

  • Franklin Templeton Mutual Fund

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Highlights of this fund

Franklin India Multi - Asset Solution Fund 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 28 Nov 2014. 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 ₹ 14.773 as on 28 Mar 2023.

This fund has 8 years of track record. Since 30 Nov 2021 expense ratio of this fund is 1.31%. 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 achieve capital appreciation and diversification through a mix of strategic and tactical allocation to various asset classes such as equity, debt, gold and cash by investing in funds investing in these asset classes.

List of Fund Managers of Franklin India Multi - Asset Solution Fund

  • About Paul Parampreet

    Picture of Paul ParampreetMr. 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 12.14% 7.57% 37.37% 19.74% 27.77% 36.78% 15.14% 15.03% 24.89% 22.90% 30.51% 17.24% 14.06%
Category Average -10.64% -10.78% -4.01% -10.41% 5.61% 16.34% 7.54% 8.25% 4.43% 2.37% 7.43% 7.56% 8.29%
Franklin India Multi - Asset Solution Fund 0.87%₹ 10,087 0.34%₹ 10,034 4.88%₹ 10,487 2.77%₹ 10,277 4.57%₹ 12,293 12.17%₹ 12,589 6.06%₹ 25,524 7.22%₹ 12,327 10.34%₹ 42,030 4.33%₹ 12,361 6.45%₹ 70,597 - -
Franklin India Dynamic Asset Allocation Fund Of Funds -0.69%₹ 9,930 -2.94%₹ 9,706 1.25%₹ 10,125 4.01%₹ 10,401 1.97%₹ 12,127 14.77%₹ 13,182 6.53%₹ 25,646 17.42%₹ 16,195 14.25%₹ 44,480 7.89%₹ 14,624 10.18%₹ 77,494 9.71%₹ 25,265 9.05%₹ 1,91,613
ICICI Prudential Thematic Advantage Fund (FoF) -1.38%₹ 9,862 -3.90%₹ 9,609 2.30%₹ 10,230 3.35%₹ 10,335 1.99%₹ 12,128 14.47%₹ 13,118 5.31%₹ 25,334 36.78%₹ 25,631 18.57%₹ 47,289 13.54%₹ 18,882 17.24%₹ 92,226 13.62%₹ 35,881 14.06%₹ 2,50,086
ICICI Prudential Bharat 22 - Fof 0.55%₹ 10,055 1.59%₹ 10,159 13.32%₹ 11,332 19.74%₹ 11,974 20.75%₹ 13,301 27.77%₹ 16,358 22.90%₹ 29,938 35.79%₹ 25,077 30.51%₹ 55,669 - - - -
DSP World Mining Fund -2.37%₹ 9,763 -3.41%₹ 9,658 25.56%₹ 12,555 -10.45%₹ 8,954 8.41%₹ 12,536 10.80%₹ 12,282 7.85%₹ 25,983 32.98%₹ 23,536 15.40%₹ 45,216 15.14%₹ 20,243 17.15%₹ 92,034 6.07%₹ 18,036 12.38%₹ 2,28,601
ICICI Prudential India Equity Fof -1.26%₹ 9,874 -3.74%₹ 9,625 1.28%₹ 10,128 2.79%₹ 10,279 -0.05%₹ 11,997 15.28%₹ 13,304 5.25%₹ 25,319 32.41%₹ 23,252 17.76%₹ 46,754 - - - -

Portfolio Holdings

Portfolio holdings pattern of Franklin India Multi - Asset Solution Fund as on 31 Mar 2023 are listed below:

  • Equity Holdings:

    0.00%
  • Debt Holdings:

    0.00%
  • Others Holdings:

    0.00%