Franklin India Equity Hybrid Fund Direct Growth

Scheme code: INF090I01FZ1 NAV value: ₹ 289.1308 NAV date: 29 January, 2025
Fund option: Direct Fund type: Growth
Asset class: Hybrid Asset category: Aggressive Hybrid Fund

Rolling returns

Summary

Duration Min (%) Max (%) Average XIRR (%) Category average XIRR (%)
1 year 17.18 37.98 29.81 27.44
3 year 13.34 18.75 16.27 15.67
5 year 14.90 20.28 17.39 17.45
7 year 13.05 15.13 13.93 14.11
10 year 12.54 16.55 14.68 14.11

Rolling return for 1 year

Average return: 29.81%
Min Max Min-Max Max-Min Standard Deviation Mean From To
19.85 17.18 19.85 17.18 1.34 18.52 01-2024 01-2025
24.58 21.24 27.81 18.17 3.61 22.95 12-2023 12-2024
29.23 25.84 32.92 22.35 3.92 27.58 11-2023 11-2024
31.61 31.64 36.35 27.07 3.28 31.67 10-2023 10-2024
31.67 31.9 35.31 28.35 2.46 31.81 09-2023 09-2024
30.56 34.14 36.4 28.4 3.1 32.38 08-2023 08-2024
33.17 33.16 37.63 28.85 3.1 33.2 07-2023 07-2024
28.13 33.13 37.98 23.63 5.37 30.72 06-2023 06-2024
31.63 32.99 37.07 27.72 3.34 32.35 05-2023 05-2024
32.88 34.28 36.21 31 1.91 33.59 04-2023 04-2024
31.85 32.62 36.03 28.55 2.66 32.26 03-2023 03-2024
29.9 31.33 34.07 27.25 2.46 30.64 02-2023 02-2024

Rolling return for 3 year

Average return: 16.27%
Min Max Min-Max Max-Min Standard Deviation Mean From To
16.44 14.69 16.44 14.69 0.88 15.57 01-2022 01-2025
16.74 16.37 17.74 15.38 0.84 16.56 12-2021 12-2024
15.31 14.4 16.39 13.34 1.13 14.86 11-2021 11-2024
14.98 14.93 16.34 13.58 0.98 14.96 10-2021 10-2024
16.25 16.43 17.31 15.38 0.69 16.34 09-2021 09-2024
16.44 16.72 18.15 15.03 1.11 16.58 08-2021 08-2024
17.03 17.64 18.32 16.36 0.73 17.34 07-2021 07-2024
15.03 16.67 17.91 13.83 1.55 15.86 06-2021 06-2024
17.09 16.48 18.68 14.92 1.35 16.79 05-2021 05-2024
17.78 17.43 18.75 16.46 0.82 17.6 04-2021 04-2024
16.66 15.96 17.88 14.76 1.13 16.32 03-2021 03-2024
17.12 15.86 18.36 14.64 1.39 16.5 02-2021 02-2024

Rolling return for 5 year

Average return: 17.39%
Min Max Min-Max Max-Min Standard Deviation Mean From To
17.75 17.08 17.75 17.08 0.34 17.42 01-2020 01-2025
17.84 17.87 18.44 17.27 0.41 17.86 12-2019 12-2024
17.38 17.47 18.04 16.81 0.44 17.42 11-2019 11-2024
18.46 18.28 19.3 17.45 0.66 18.37 10-2019 10-2024
19.63 18.82 20.28 18.18 0.8 19.23 09-2019 09-2024
18.95 19.47 20 18.43 0.58 19.21 08-2019 08-2024
18.32 17.82 19.1 17.05 0.75 18.07 07-2019 07-2024
15.86 17.02 17.58 15.3 0.9 16.44 06-2019 06-2024
16.52 16.23 17.47 15.29 0.78 16.38 05-2019 05-2024
15.74 15.94 16.32 15.37 0.34 15.84 04-2019 04-2024
16.19 15.62 16.92 14.9 0.74 15.91 03-2019 03-2024
16.55 16.49 17.28 15.75 0.54 16.52 02-2019 02-2024

Rolling return for 7 year

Average return: 13.93%
Min Max Min-Max Max-Min Standard Deviation Mean From To
13.66 13.3 13.66 13.3 0.18 13.48 01-2018 01-2025
13.98 13.84 14.4 13.42 0.35 13.91 12-2017 12-2024
13.53 13.68 13.99 13.23 0.27 13.61 11-2017 11-2024
14.22 14.29 14.8 13.72 0.38 14.26 10-2017 10-2024
14.68 14.65 15.13 14.2 0.33 14.66 09-2017 09-2024
14.23 14.5 14.94 13.79 0.42 14.36 08-2017 08-2024
14.42 14.38 14.96 13.85 0.39 14.4 07-2017 07-2024
13.26 14.25 14.47 13.05 0.61 13.76 06-2017 06-2024
13.51 13.84 14.17 13.18 0.37 13.68 05-2017 05-2024
13.64 13.76 14.04 13.35 0.25 13.7 04-2017 04-2024
13.52 13.7 14.03 13.19 0.3 13.61 03-2017 03-2024
13.58 13.79 14.09 13.27 0.3 13.68 02-2017 02-2024

Rolling return for 10 year

Average return: 14.68%
Min Max Min-Max Max-Min Standard Deviation Mean From To
13.33 12.54 13.33 12.54 0.4 12.93 01-2015 01-2025
13.58 13.39 13.87 13.1 0.28 13.48 12-2014 12-2024
13.5 13.35 13.82 13.03 0.28 13.42 11-2014 11-2024
14.3 14.07 14.7 13.67 0.37 14.18 10-2014 10-2024
14.64 14.54 14.95 14.23 0.26 14.59 09-2014 09-2024
14.95 14.88 15.46 14.38 0.38 14.92 08-2014 08-2024
15.17 15.1 15.55 14.72 0.29 15.14 07-2014 07-2024
14.58 14.94 15.44 14.09 0.49 14.76 06-2014 06-2024
15.49 15.07 15.96 14.61 0.5 15.28 05-2014 05-2024
15.55 15.61 15.83 15.32 0.18 15.58 04-2014 04-2024
15.91 15.55 16.27 15.19 0.4 15.73 03-2014 03-2024
16.18 16.14 16.55 15.77 0.28 16.16 02-2014 02-2024