BSE Prices delayed by 5 minutes ! Prices as on   Jan 09, 2025 - 12:54PM   ABB India 6556.7 [ -1.55% ]ACC 1958.6 [ -2.43% ]Ambuja Cements 523.7 [ -2.59% ]Asian Paints Ltd. 2356 [ 0.93% ]Axis Bank Ltd. 1060.45 [ -1.35% ]Bajaj Auto 8737.6 [ 1.10% ]Bank of Baroda 230.55 [ -0.97% ]Bharti Airtel 1613.9 [ 0.93% ]Bharat Heavy Ele 217.3 [ -2.14% ]Bharat Petroleum 282.15 [ -1.62% ]Britannia Ind. 4959.75 [ 2.09% ]Cipla 1494.6 [ -0.03% ]Coal India 372.55 [ -2.10% ]Colgate Palm. 2929.3 [ 4.95% ]Dabur India 522 [ 1.62% ]DLF Ltd. 785.45 [ -2.09% ]Dr. Reddy's Labs 1379.25 [ 0.63% ]GAIL (India) 184.75 [ -3.04% ]Grasim Inds. 2408.15 [ -1.15% ]HCL Technologies 1941.35 [ 0.41% ]HDFC Bank 1660.05 [ -2.01% ]Hero MotoCorp 4141.5 [ 0.13% ]Hindustan Unilever L 2455.55 [ 2.33% ]Hindalco Indus. 585.65 [ -0.16% ]ICICI Bank 1254.05 [ -0.79% ]IDFC L 108 [ -1.77% ]Indian Hotels Co 821.85 [ -1.57% ]IndusInd Bank 975.15 [ -0.58% ]Infosys L 1926.3 [ -0.35% ]ITC Ltd. 453.1 [ 0.80% ]Jindal St & Pwr 931 [ -1.25% ]Kotak Mahindra Bank 1788.2 [ 1.10% ]L&T 3522 [ -2.06% ]Lupin Ltd. 2272.75 [ 0.90% ]Mahi. & Mahi 3138.5 [ 1.74% ]Maruti Suzuki India 11795 [ -0.20% ]MTNL 47.93 [ -2.10% ]Nestle India 2263.5 [ 2.00% ]NIIT Ltd. 184.1 [ -1.66% ]NMDC Ltd. 64.95 [ -1.65% ]NTPC 320.9 [ -1.37% ]ONGC 264.05 [ -2.65% ]Punj. NationlBak 101.25 [ -0.69% ]Power Grid Corpo 304.75 [ -0.57% ]Reliance Inds. 1255.2 [ -0.75% ]SBI 758.95 [ -1.59% ]Vedanta 439.95 [ -1.44% ]Shipping Corpn. 207.5 [ 0.07% ]Sun Pharma. 1830.45 [ -0.37% ]Tata Chemicals 1013.35 [ 0.96% ]Tata Consumer Produc 975 [ 1.45% ]Tata Motors 783.8 [ -1.39% ]Tata Steel 130.4 [ -1.66% ]Tata Power Co. 366.55 [ -1.98% ]Tata Consultancy 4069 [ -0.94% ]Tech Mahindra 1647.95 [ -0.94% ]UltraTech Cement 11252.1 [ -1.27% ]United Spirits 1583.35 [ 0.48% ]Wipro 292.75 [ -1.60% ]Zee Entertainment En 133.45 [ -0.22% ]
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Franklin India Banking & PSU Debt Fund - Direct Plan

You can view the dividend history of MF. Search for the scheme to get more details.

Fund : Franklin Templeton Mutual Fund
Category : Debt - Income
Type : Open Ended
NAV(08/01/2025) 22.4545
Percentage Returns :
1 Month Ago : 0.5%
3 Months Ago : 1.77%
1 Year Ago : 8.07%
Dividend DatePercentage(%)
23/09/20241.45
21/06/20241.45
22/03/20241.45
22/12/20231.25
25/09/20231.25
23/06/20231.25
27/03/20231.20
23/12/20221.20
23/09/20221.20
17/06/20221.20