Franklin India PENSION PLAN - Direct - Growth

Franklin India PENSION PLAN - Direct - Growth of Franklin Templeton Mutual Fund has asset class type as Hybrid-Debt. Oro Wealth rating for the fund is 2.

Basic Details

Riskometer

Moderately High

Expenese Ratio (%)

1.56

Age

NA Years

Fund Manager

Lakshmikanth Reddy

AuM (Rs Crores)

424.0235

Asset Class

Hybrid-Debt

Net Asset Value:

124.0215

Rating

2

Exit Load

0.03

Bench Mark

Crisil Composite Bond Fund Index,Nifty 500 TRI

Fund Type

MIP

SEBI Category

Retirement Fund

Fund Manager Details:

Lakshmikanth Reddy B.Tech in Mechanical Engineering from Jawaharlal Nehru Technical University, Hyderabad and PGDM from IIM-A Prior to joining Franklin Templeton Mutual Fund he was associated with ICICI Pru Life Insurance Company Ltd. as Head-Equity (Jun 24-Feb 216), HSBC Capital Markets as Equity analyst (Apr 23-May 24), ABN Amro Asia Equities as Equity Analyst (Feb 2-Mar 23), UTI as Buy Side Analyst (Jun 1997-Feb 2) and Crompton Greaves as Design Executive (Aug 1993-Jun 1995).

Objective:

To provide investors regular income under the Dividend Plan and capital appreciation under the Growth Plan.

Top Holdings:

  • Banks (12.23)
  • Pharmaceuticals (2.4)
  • Automobile (2.23)
  • Textiles (1.96)
  • Refineries (1.95)
  • Gas Distribution (1.82)
  • FMCG (1.82)
  • IT - Software (1.81)
  • Paints/Varnish (1.75)
  • Power Generation & Distribution (1.73)


  • Top 5 Sector Allocations of the Fund
    Top 5 Company Allocations of the Fund
    Debt Composition