Franklin India Multi Asset Allocation Fund
Multi Asset fund benchmarked to 65% Nifty 500+ 20% Nifty Short Duration Index+ 5% Domestic price of gold+ 5% Domestic price of silver+ 5% iCOMDEX. Every figure below is read from one dated snapshot; what the snapshot cannot prove is left out, never estimated.
| Latest NAV2 Sep 2026 | 11.1764 |
|---|---|
| Category | Multi Asset |
| Plan | Direct · Idcw |
| Launched | 11 Jul 2025 |
| Risk labelthe scheme's own riskometer | Very High |
| Legal benchmarkSEBI Tier-1 | 65% Nifty 500+ 20% Nifty Short Duration Index+ 5% Domestic price of gold+ 5% Domestic price of silver+ 5% iCOMDEX |
| Expense ratiodirect plan, a year · stated maximum, from the scheme document | 0.41% |
| AUM | ₹1.72 Cr |
Growth of ₹10,000₹11,17631 Jul 2025 to 2 Sep 2026
₹11,176 (+10.7% a year) Franklin India Multi Asset Allocation Fund
| Point | Franklin India Multi Asset Allocation Fund |
|---|---|
| 31 Jul 2025 | ₹10,000 |
| 4 Aug 2025 | ₹9,999 |
| 11 Aug 2025 | ₹9,980 |
| 18 Aug 2025 | ₹10,036 |
| 25 Aug 2025 | ₹10,086 |
| 1 Sep 2025 | ₹10,028 |
| 8 Sep 2025 | ₹10,094 |
| 15 Sep 2025 | ₹10,159 |
| 22 Sep 2025 | ₹10,232 |
| 30 Sep 2025 | ₹10,116 |
| 6 Oct 2025 | ₹10,308 |
| 13 Oct 2025 | ₹10,480 |
| 20 Oct 2025 | ₹10,561 |
| 27 Oct 2025 | ₹10,502 |
| 3 Nov 2025 | ₹10,481 |
| 10 Nov 2025 | ₹10,440 |
| 17 Nov 2025 | ₹10,578 |
| 24 Nov 2025 | ₹10,516 |
| 1 Dec 2025 | ₹10,715 |
| 8 Dec 2025 | ₹10,610 |
| 15 Dec 2025 | ₹10,769 |
| 22 Dec 2025 | ₹10,876 |
| 29 Dec 2025 | ₹10,928 |
| 5 Jan 2026 | ₹11,099 |
| 12 Jan 2026 | ₹11,055 |
| 19 Jan 2026 | ₹11,145 |
| 27 Jan 2026 | ₹11,138 |
| 2 Feb 2026 | ₹10,907 |
| 9 Feb 2026 | ₹11,346 |
| 16 Feb 2026 | ₹11,307 |
| 23 Feb 2026 | ₹11,366 |
| 2 Mar 2026 | ₹11,273 |
| 9 Mar 2026 | ₹10,866 |
| 16 Mar 2026 | ₹10,629 |
| 23 Mar 2026 | ₹10,145 |
| 30 Mar 2026 | ₹10,290 |
| 6 Apr 2026 | ₹10,516 |
| 13 Apr 2026 | ₹10,827 |
| 20 Apr 2026 | ₹11,088 |
| 27 Apr 2026 | ₹11,054 |
| 4 May 2026 | ₹10,985 |
| 11 May 2026 | ₹10,932 |
| 18 May 2026 | ₹10,904 |
| 25 May 2026 | ₹11,085 |
| 1 Jun 2026 | ₹10,876 |
| 8 Jun 2026 | ₹10,762 |
| 15 Jun 2026 | ₹11,033 |
| 22 Jun 2026 | ₹11,125 |
| 29 Jun 2026 | ₹10,984 |
| 6 Jul 2026 | ₹11,198 |
| 13 Jul 2026 | ₹11,089 |
| 20 Jul 2026 | ₹11,083 |
| 27 Jul 2026 | ₹11,050 |
| 3 Aug 2026 | ₹11,280 |
| 10 Aug 2026 | ₹11,428 |
| 17 Aug 2026 | ₹11,402 |
| 24 Aug 2026 | ₹11,453 |
| 31 Aug 2026 | ₹11,304 |
| 2 Sep 2026 | ₹11,176 |
Performance (trailing, annualised)
| 1Y annualised | 11.56% |
|---|
Point-to-point from the fund's own published NAV; a period the history does not span is left out.
SIP returns
| SIP 1Y (₹10,000 a month)invested ₹1,20,000 → worth ₹1,24,563 | 7.10% |
|---|
₹10,000 on the first of every month, valued at the latest NAV, as an annualised rate (XIRR).
Risk
| Volatility (3Y) | 12.08% |
|---|---|
| Downside deviation (3Y) | 8.66% |
| Maximum drawdown | -11.55% |
Management
| Fund manager | Equity: R. Janakiraman, Rajasa Kakulavarapu, Debt: Rohan Maru, Pallab Roy, Sandeep Manam (Dedicated Foreign Fund Manager) |
|---|---|
| Managing since | 3 Sep 2026 |
Related
Source: the OmniAsset signed reference snapshot, as of 4 Sep 2026. Figures are deterministic; missing data is withheld, never estimated. See methodology and data sources. Not investment advice.
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