Franklin India Dynamic Asset Allocation Active Fund of Funds Direct growth
Hybrid • FOF • Direct growth
Insufficient fund history to generate its report card
Average credit rating
AAA (Highest)
CAGR
₹1,000 invested for 5 years
Fund Info
Hybrid
FOF
Direct growth
Launched On
01 Jan 2013
12.8 years ago
Lock-in Period
No lock-in
NAV
as of 24 Oct 2025
₹189.69
-0.0897% (-0.10)
AUM
₹1,288 Cr
Expense ratio
0.5%
Benchmark
CRISIL Hybrid 50+50 - Moderate
Fund Plan
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Tax info and exit load
Taxes
Units sold anytime
As per tax slab
Exit Load
If units sold before 1Y
1%
If units sold after 1Y
0%
Distribution
Market capital
What's in this fund?
Credit Rating
Sectors
Holdings
56.79%
26.08%
12.12%
5.01%
Fund House
Franklin Templeton
Inc: 01 Dec 1993 • Total AUM: ₹1,15,533 Cr • Rank #18
Franklin Templeton Mutual Fund, started in 2004, has Franklin Templeton India as its sponsor. The fund house is headed by Sanjay Sapre as the CEO. As of 31 March 2024, it has an AUM of ₹95,924 Cr. It functions under the holding company Templeton Asset Management India Pvt. Limited.
Fund Managers
Rajasa Kakulavarapu
Experience: 4.13 yrs • Total AUM: 2,45,322 Cr
Venkatesh Sanjeevi
Experience: 4.01 yrs • Total AUM: 1,87,761 Cr
Risk
Category risk
Moderately high
As provided by the fund house document, this risk is specific to this fund category (Hybrid). To know the risk of this fund particularly, check 'Risk vs Category'.
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