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FRANKLIN INDIA MULTICAP FUND -REGULAR PLAN-GROWTH

Multi Asset • Very High Risk

FRANKLIN INDIA MULTICAP FUND -REGULAR PLAN-GROWTH

Category: Multi Asset

CRISIL Rating: Very High Risk

Code: FR976-GR

NAV

₹10.74

0.30 (2.68%)
2026-09-15
Fund Rating

3 ⭐

Fund Information
Fund Size (AUM): 526.23 CR
Fund Strategy: Very High Risk
Expense Ratio: 2.2500%
Fund Manager:
Min Lump Sum: ₹5,000.00
Min SIP: ₹100.00
ISIN: INF090I01WX1
Benchmark:
0.00% 3Y annualised
NAV

₹10.74

2026-09-15
Fund Rating

3 ⭐

Fund Size

526.23 CR

Fund Strategy

Very High Risk

₹500 ₹100,000
Total Investment: ₹15,000
Total Value: ₹0
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Sector Allocation
Top Holdings
Security Name Weight (%)
HDFC Bank Ltd 6.21%
Reliance Industries Ltd 4.44%
Call, Cash & Other Assets 4.42%
Axis Bank Ltd 3.38%
ICICI Bank Ltd 3.21%
Bharti Airtel Ltd 3.02%
Mahindra & Mahindra Ltd 2.88%
APL Apollo Tubes Ltd 2.84%
Lemon Tree Hotels Ltd 2.70%
Indus Towers Ltd Ordinary Shares 2.50%

Fund Rating

3 out of 5

Funds in Same Category

Fund Name 1M 6M 1Y 5Y Since Inception Rank
QUANT MULTI ASSET ALLOCATION FUND REGULAR PLAN - GROWTH -1.31% N/A 13.87% 17.71% 11.63% 1
NIPPON INDIA MULTI ASSET ALLOCATION FUND-REGULAR PLAN-GROWTH -1.05% N/A 11.69% 14.15% 16.36% 2
AXIS MULTICAP FUND REGULAR GROWTH -3.26% N/A 6.57% 0.00% 14.85% 3
HSBC MULTI CAP FUND REGULAR PLAN - GROWTH -3.93% N/A 4.74% 0.00% 20.61% 4
BANK OF INDIA MULTICAP FUND REGULAR PLAN - GROWTH -2.46% N/A 9.02% 0.00% 20.71% 5
WHITEOAK CAPITAL MULTI ASSET ALLOCATION FUND - REGULAR PLAN GROWTH -0.57% N/A 11.12% 0.00% 15.43% 6
LIC MF MULTI CAP FUND REGULAR PLAN-GROWTH -2.98% N/A 5.58% 0.00% 16.57% 7
MAHINDRA MANULIFE MULTI CAP FUND - REGULAR - GROWTH -2.93% N/A 10.13% 13.88% 15.66% 8
KOTAK MULTICAP FUND - REGULAR PLAN - GROWTH -2.09% N/A 2.00% 0.00% 14.56% 9
KOTAK MULTI ASSET OMNI FOF - GROWTH -1.05% N/A 7.71% 14.12% 15.84% 10

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