Last NAV: 356.5366

FRANKLIN INDIA TECHNOLOGY FUND   -   Growth

INVESTMENT OBJECTIVE : The scheme seeks above normal capital appreciation through investments in high quality

Annualized Return Last 5 years Last 3 years Last 1 year Year To date Month to date
20.90% 27.08% 31.20% 71.57% 36.92% 4.22%
Sharpe Ratio Sortino Ratio Calmar Ratio Volatility Max drawdown Positive Months
0.73 0.98 0.25 28.64% -82.60% 60.29%
Riskometer
High
Investors understands that their principle will be at high risk

Key Specifications

Category Equity: Sectoral-Technology
AUM INR   699.80   Cr.
Inception Date 22/08/1998
Minimum Initial Investment INR   5000
Minimum Subsequent Investment INR   1000
TurnOver 22.07
Expense Ratio 2.43
Exit Load Exit load of 1% if redeemed within 1 year

Year Jan Feb March April May June July Aug Sept Oct Nov Dec Total
1998 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 5.25 -1.86 -3.19 30.04 30.04
1999 29.98 5.66 22.35 -19.92 13.05 1.77 26.47 14.99 28.14 -1.92 37.27 48.64 477.37
2000 3.48 24.21 -9.59 -23.77 -15.25 14.28 -13.64 13.80 -9.98 -10.94 0.57 -11.65 -39.96
2001 11.59 -10.84 -33.62 -0.90 8.09 -11.29 -8.44 -3.34 -34.26 16.63 33.23 11.99 -36.47
2002 2.01 -0.92 3.55 0.14 -9.32 -1.81 -13.32 13.23 -3.29 1.22 15.95 4.15 8.26
2003 -10.68 2.75 -9.54 -15.43 -1.80 13.47 5.43 9.33 12.80 6.39 10.61 14.80 37.43
2004 -6.37 -0.62 -8.77 6.83 0.21 3.24 8.13 3.90 6.55 6.28 10.52 -1.28 30.23
2005 -2.41 5.43 0.47 -11.44 15.39 5.02 -1.64 7.41 4.49 -2.48 9.07 10.36 43.75
2006 2.14 -1.69 8.81 -1.61 -8.88 3.19 6.00 8.16 0.98 9.81 4.13 6.25 42.17
2007 3.34 -8.57 0.00 2.36 -4.03 -1.09 -1.41 -6.88 -0.11 -0.37 -7.18 8.18 -15.78
2008 -18.68 3.93 -7.86 17.58 7.73 -13.44 -6.14 6.38 -20.26 -8.71 -10.03 -11.05 -50.34
2009 2.32 -6.75 9.19 18.14 11.21 9.94 20.30 4.78 9.06 -1.99 7.70 8.37 136.67
2010 -3.78 3.57 1.65 1.53 -2.90 3.77 2.72 -1.93 10.30 2.09 1.58 11.07 32.63
2011 -6.66 -3.84 6.36 -6.16 -2.00 2.27 -4.64 -12.57 3.78 10.40 -4.68 3.36 -15.50
2012 0.88 6.97 -1.48 -5.44 -0.23 1.80 -6.73 7.50 2.14 -3.71 2.66 -3.02 0.26
2013 10.14 4.92 0.98 -15.22 6.49 2.80 17.17 7.53 -2.46 8.58 -1.24 7.42 53.34
2014 3.91 2.46 -10.02 -0.42 -3.83 11.18 4.83 3.49 5.50 0.80 4.14 -4.72 16.75
2015 3.31 5.76 -3.15 -7.22 4.94 -2.16 3.92 1.27 2.17 -1.57 -3.17 0.42 3.75
2016 0.20 -7.84 9.91 -0.44 1.79 -1.44 -0.13 -2.40 -2.18 0.48 -0.44 0.69 -2.63
2017 -0.87 5.42 -0.03 -2.28 3.26 0.32 2.73 -0.56 -0.23 3.96 3.08 3.10 19.08
2018 8.92 0.01 -2.45 7.65 -1.03 2.86 2.24 5.41 -1.57 -4.72 -2.47 -2.49 11.92
2019 7.19 1.78 1.36 3.98 -5.35 -0.32 -1.47 0.58 -0.16 -0.82 2.98 2.53 12.40
2020 4.41 -4.49 -15.29 13.55 1.21 6.90 17.40 0.93 5.37 3.80 6.44 9.50 56.76
2021 1.95 1.87 2.34 1.53 1.07 7.77 3.35 8.15 4.22 0.00 0.00 0.00 36.92
all values are in %


Allocation Mandate

Equity Allocation Min: 80   Max: 100
Debt Allocation Min: 0   Max: 20
Commodity Allocation Min: 0   Max: 0
Money Market Min: 0   Max: 20

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About Fund Managers:

Mayank Bukrediwala Franklin

  • Job Since 24/08/2020
  • About Mr. Bukrediwala has done PGDBM and Bachelor of Technology. Prior to joining Franklin Templeton Mutual Fund he has worked with Goldman Sachs.

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