» Nav History

Nav History

Franklin India Multi-Asset Solution Fund -... - Scheme Profile

NAV 24 Apr 10.59 -3.06
(-22.42%)
Date Nav(Rs)
24-04-2020 10.59
23-04-2020 13.65
22-04-2020 13.64
21-04-2020 13.55
20-04-2020 13.63
17-04-2020 13.72
16-04-2020 13.65
15-04-2020 13.54
13-04-2020 13.53
09-04-2020 13.34
08-04-2020 13.14
07-04-2020 13.16
03-04-2020 12.87
31-03-2020 12.95
30-03-2020 12.96
27-03-2020 12.88
26-03-2020 12.61
24-03-2020 12.38
23-03-2020 12.25
20-03-2020 12.70