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Franklin India Short Term Income Plan - Direct Plan

5 Value Research
0.06%
Change from previous, NAV as on Apr 18, 2019
Category: Debt: Short Duration
Assets: R 12,866 crore (As on Mar 31, 2019)
Expense: 0.78% (As on Mar 31, 2019)
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Basic Details
Fund House: Franklin Templeton Mutual Fund
Launch Date: Jan 01, 2013
Benchmark: CRISIL Short-Term Bond
Riskometer: Moderate
Risk Grade: Below Average
Return Grade: High
Type: Open-ended
Investment Details
Return since Launch: 9.99%
Minimum Investment (R) 5,000
Minimum Addl Investment (R) 5,000
Minimum Withdrawal (R) 1,000
Minimum SWP Withdrawal (R) 1,000
Minimum Balance (R) 1,000
Exit Load (%) For units in excess of 10% of the investment,0.5% will be charged for redemption within 365 days
Performance
  YTD 1-Month 3-Month 1-Year 3-Year 5-Year 10-Year
Fund 2.45 0.40 1.97 9.30 9.88 10.00 -
CCIL T Bill Liquidity Weight 1.43 0.36 1.11 4.37 4.30 4.73 -
Category 2.65 0.58 2.18 7.36 7.74 8.49 -
Rank within Category 24 28 24 1 1 1 -
Number of funds in category 29 30 29 28 27 27 -
As on Apr 18, 2019
Peer Comparison
Fund Rating Launch 1-Year Ret 3-Year Ret 5-Year Ret Expense Ratio (%) Assets
(Cr)
Franklin India Short Term Income Plan - Direct Plan Jan-2013 9.30 9.88 10.00 0.78 12,866
Axis Short Term Fund - Direct Plan Jan-2013 7.90 7.93 8.82 0.28 3,052
Baroda Short Term Bond Fund - Direct Plan Jan-2013 7.87 8.68 9.15 0.72 283
BNP Paribas Short Term Fund - Direct Plan Jan-2013 7.91 7.75 8.57 0.33 158
BOI AXA Short Term Income Fund - Direct Plan Jan-2013 6.78 7.95 8.90 0.56 150
Portfolio
Portfolio Aggregates
  Fund 1Y High 1Y Low Category
Number of Securities 155 155 133 56
Modified Duration (yrs) 2.10 2.20 1.71 1.85
Average Maturity (yrs) 2.89 2.93 2.13 2.31
Yield to Maturity (%) 11.11 11.41 10.53 8.61
  Value Research Fund Style
 
Top Holdings
  Company Instrument Credit Rating 1Y Range % Assets
  10.25% Shriram Transport Finance 2024 Debenture AA+ 0.00 - 6.00 5.52
  Adani Rail Infra 2023 Debenture AA- 0.00 - 4.38 4.14
  10.9% Vodafone Idea 2023 Debenture AA- 0.00 - 4.11 3.99
  9.1% Power Finance Corp. 2029 Non Convertible Debenture AAA 0.00 - 3.41 3.41
  8.96% Dolvi Minerals and Metals 2019 Debenture A 3.16 - 3.67 3.16
  9.5% Piramal Capital & Housing Finance 2022 Debenture AA+ 0.00 - 3.09 2.99
  11.9% Rishanth Wholesale Trading 2023 Debenture A 0.00 - 3.04 2.74
  9.5% Yes Bank Bonds AA 0.00 - 3.88 2.60
  8.7% Edelweiss Agri Value Chain 2027 Debenture AA 1.38 - 2.61 2.35
  Edelweiss Commodities Services 2021 Debenture AA 0.00 - 2.34 2.18
   Indicates an increase or decrease or no change in holding since last portfolio
 Indicates a new holding since last portfolio
As on Mar 31, 2019
Most Recent Dividends
  Plan Record Date Dividend
(R / Unit)
   
+ Dividend Monthly Mar 22, 2019 5.9427   More...
    Feb 18, 2019 5.9427    
    Jan 21, 2019 5.9427    
    Dec 21, 2018 5.9427    
    Nov 22, 2018 5.9427    
    Oct 19, 2018 5.9427    
    Sep 21, 2018 5.9427    
    Aug 27, 2018 5.9427    
    Jul 20, 2018 5.9427    
    Jun 15, 2018 5.9427    
    May 18, 2018 5.9427    
    Apr 20, 2018 5.9427    
    Mar 16, 2018 5.9587    
    Feb 16, 2018 5.9587    
    Jan 19, 2018 5.9587    
    Dec 15, 2017 5.9587    
    Nov 17, 2017 5.9587    
    Oct 27, 2017 5.9587    
    Sep 15, 2017 5.9587    
    Aug 18, 2017 5.9587    
    Jul 21, 2017 5.9587    
    Jun 16, 2017 5.9587    
    May 19, 2017 5.9587    
    Apr 21, 2017 5.9587    
    Mar 17, 2017 5.9587    
+ Dividend Quarterly Mar 22, 2019 18.0081   More...
    Dec 21, 2018 18.0081    
    Sep 21, 2018 18.0081    
    Jun 15, 2018 18.0081    
    Mar 16, 2018 18.0566    
    Dec 15, 2017 18.0566    
    Sep 15, 2017 18.0566    
    Jun 16, 2017 18.0566    
    Mar 17, 2017 18.0566    
    Dec 16, 2016 17.6955    
    Sep 16, 2016 17.6955    
    Jun 17, 2016 17.6955    
    Mar 28, 2016 17.6955    
    Dec 18, 2015 17.6955    
    Sep 18, 2015 17.6955    
    Jun 19, 2015 17.6955    
    Mar 20, 2015 17.4208    
    Dec 19, 2014 17.0578    
    Sep 19, 2014 17.5336    
    Jun 23, 2014 17.1440    
    Jun 20, 2014 17.1440    
    Mar 24, 2014 15.5854    
    Dec 30, 2013 15.5854    
    Sep 30, 2013 15.5854    
    May 27, 2013 26.2783    
+ Dividend Weekly Mar 29, 2019 3.3620   More...
    Mar 22, 2019 1.0268    
    Mar 15, 2019 2.5477    
    Mar 08, 2019 3.0156    
    Mar 01, 2019 1.4566    
    Feb 22, 2019 1.0390    
    Feb 15, 2019 0.6704    
    Feb 08, 2019 2.7375    
    Jan 25, 2019 2.4019    
    Jan 11, 2019 2.9757    
    Jan 04, 2019 0.9934    
    Dec 28, 2018 1.4359    
    Dec 21, 2018 5.3352    
    Dec 14, 2018 3.9132    
    Dec 07, 2018 3.2799    
    Nov 30, 2018 3.2316    
    Nov 22, 2018 1.7363    
    Nov 16, 2018 2.7725    
    Nov 09, 2018 0.9356    
    Nov 02, 2018 1.7100    
    Oct 26, 2018 0.8881    
    Oct 19, 2018 1.2202    
    Oct 12, 2018 1.7775    
    Oct 05, 2018 0.8614    
    Sep 28, 2018 3.5038    
News and Analysis
Contact Information

AMC: Franklin Templeton Asset Management India Private Ltd

Address: Indiabulls Finance Center, Tower 2, 12th and 13th Floor, Senapati Bapat Marg, Elphinstone Road (West) Mumbai - 400013 | Phone: 1-800-4254255/ 60004255

Email: [email protected]

Website: www.franklintempletonindia.com



Registrar & Transfer Agent: Franklin Templeton International Services (India) Private Limited

Address: 4th Floor, Kuber Complex, Rathyatra Kamachha Rd, Rathyatra Crossing, Near Tanishq Jewelers, Rathyatra, Sidhgiribagh, Varanasi, Uttar Pradesh - 221010 | Phone: 0542 645 4370

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