Franklin India Debt Hybrid Fund Direct Growth

Scheme code: INF090I01GF1 NAV value: ₹ 94.6364 NAV date: 29 January, 2025
Fund option: Direct Fund type: Growth
Asset class: Hybrid Asset category: Conservative Hybrid Fund

Rolling returns

Summary

Duration Min (%) Max (%) Average XIRR (%) Category average XIRR (%)
1 year 10.68 17.28 14.58 13.72
3 year 8.06 10.02 9.12 9.25
5 year 8.39 10.07 9.14 9.58
7 year 7.63 8.56 8.11 8.26
10 year 8.09 9.77 9.07 9.25

Rolling return for 1 year

Average return: 14.58%
Min Max Min-Max Max-Min Standard Deviation Mean From To
11.76 10.68 11.76 10.68 0.54 11.22 01-2024 01-2025
13.85 12.17 14.9 11.14 1.46 13.02 12-2023 12-2024
15.34 13.99 16.61 12.74 1.45 14.67 11-2023 11-2024
15.93 15.71 17.09 14.56 0.9 15.82 10-2023 10-2024
15.55 16.04 17.2 14.4 1 15.8 09-2023 09-2024
14.98 16.22 17.15 14.07 1.17 15.6 08-2023 08-2024
15.33 15.61 17.28 13.69 1.27 15.48 07-2023 07-2024
13.45 15.26 16.77 11.98 1.81 14.37 06-2023 06-2024
14.46 14.84 16.45 12.88 1.27 14.66 05-2023 05-2024
15.15 15.2 16.33 14.03 0.81 15.18 04-2023 04-2024
14.78 14.9 15.91 13.78 0.75 14.84 03-2023 03-2024
13.89 14.66 15.42 13.14 0.85 14.28 02-2023 02-2024

Rolling return for 3 year

Average return: 9.12%
Min Max Min-Max Max-Min Standard Deviation Mean From To
9.61 9.07 9.61 9.07 0.27 9.34 01-2022 01-2025
9.68 9.61 10.02 9.27 0.27 9.64 12-2021 12-2024
9.12 8.96 9.52 8.57 0.34 9.04 11-2021 11-2024
9.22 9.07 9.59 8.71 0.32 9.15 10-2021 10-2024
9.35 9.54 9.87 9.02 0.31 9.44 09-2021 09-2024
9.3 9.53 9.99 8.85 0.41 9.42 08-2021 08-2024
9.34 9.67 9.95 9.06 0.34 9.5 07-2021 07-2024
8.44 9.12 9.49 8.08 0.55 8.78 06-2021 06-2024
8.83 8.86 9.46 8.24 0.43 8.85 05-2021 05-2024
9.03 8.89 9.4 8.52 0.32 8.96 04-2021 04-2024
8.7 8.68 9.06 8.33 0.26 8.69 03-2021 03-2024
8.69 8.54 9.18 8.06 0.4 8.62 02-2021 02-2024

Rolling return for 5 year

Average return: 9.14%
Min Max Min-Max Max-Min Standard Deviation Mean From To
9.12 8.8 9.12 8.8 0.16 8.96 01-2020 01-2025
9.23 9.18 9.43 8.98 0.16 9.2 12-2019 12-2024
9.07 9.01 9.31 8.77 0.19 9.04 11-2019 11-2024
9.53 9.31 9.75 9.1 0.24 9.42 10-2019 10-2024
9.76 9.64 10.07 9.33 0.27 9.7 09-2019 09-2024
9.51 9.73 9.92 9.32 0.23 9.62 08-2019 08-2024
9.28 9.43 9.64 9.06 0.21 9.35 07-2019 07-2024
8.65 9.15 9.28 8.52 0.32 8.9 06-2019 06-2024
8.99 8.87 9.36 8.5 0.31 8.93 05-2019 05-2024
8.75 8.85 8.97 8.63 0.13 8.8 04-2019 04-2024
8.95 8.6 9.16 8.39 0.3 8.77 03-2019 03-2024
8.9 8.99 9.19 8.7 0.18 8.94 02-2019 02-2024

Rolling return for 7 year

Average return: 8.11%
Min Max Min-Max Max-Min Standard Deviation Mean From To
8.21 8.13 8.21 8.13 0.04 8.17 01-2018 01-2025
8.27 8.26 8.41 8.12 0.1 8.26 12-2017 12-2024
8.09 8.17 8.26 8 0.1 8.13 11-2017 11-2024
8.3 8.27 8.46 8.11 0.12 8.28 10-2017 10-2024
8.34 8.4 8.56 8.18 0.14 8.37 09-2017 09-2024
8.12 8.25 8.41 7.96 0.17 8.18 08-2017 08-2024
8.12 8.12 8.38 7.86 0.18 8.12 07-2017 07-2024
7.8 8.07 8.25 7.63 0.24 7.94 06-2017 06-2024
7.95 8.03 8.21 7.76 0.16 7.99 05-2017 05-2024
8.02 8.02 8.17 7.86 0.11 8.02 04-2017 04-2024
8.02 7.9 8.17 7.75 0.15 7.96 03-2017 03-2024
7.92 7.87 8.12 7.67 0.16 7.9 02-2017 02-2024

Rolling return for 10 year

Average return: 9.07%
Min Max Min-Max Max-Min Standard Deviation Mean From To
8.49 8.09 8.49 8.09 0.2 8.29 01-2015 01-2025
8.59 8.5 8.69 8.4 0.11 8.54 12-2014 12-2024
8.64 8.54 8.76 8.42 0.13 8.59 11-2014 11-2024
8.97 8.8 9.08 8.69 0.15 8.88 10-2014 10-2024
9.14 9.08 9.29 8.93 0.13 9.11 09-2014 09-2024
9.25 9.21 9.45 9.01 0.16 9.23 08-2014 08-2024
9.25 9.22 9.43 9.04 0.14 9.24 07-2014 07-2024
9.03 9.13 9.35 8.81 0.19 9.08 06-2014 06-2024
9.39 9.21 9.58 9.03 0.2 9.3 05-2014 05-2024
9.52 9.46 9.63 9.34 0.1 9.49 04-2014 04-2024
9.61 9.42 9.71 9.31 0.16 9.51 03-2014 03-2024
9.63 9.65 9.77 9.5 0.1 9.64 02-2014 02-2024