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    Franklin India Dynamic Asset Allocation Active Fund of Funds (IDCW) - Payout

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    FoFs Domestic

    Franklin India Dynamic Asset Allocation Active Fund of Funds (IDCW) - Payout is a FoFs Domestic mutual fund. The fund has delivered around 0.87% returns in the last 1 year and currently has a NAV of ₹ 41.18 as of 07 Jul 2026. Investors can start with a minimum SIP of ₹ 500.00.

    Franklin India Dynamic Asset Allocation Active Fund of Funds (IDCW) - Payout

    Other · FoFs Domestic

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    Total Value : ₹5,434

    When you invest ₹100 over 3 years

    Returns%

    10.90% annually for last 3 years

    Invested Gains

    Similar to this Mutual Fund

    Min. SIP Amount
    ₹1,000
    1Y Returns
    105.89% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    105.49% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    105.47% p.a
    Other Information
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    Fund Age Icon

    Fund Age :

    22 years

    AUM Icon

    AUM :

    1223.55 Cr.

    Lock-in Period Icon

    Lock-in Period :

    0

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    Exit Load :

    In respect of each purchase of Units - NIL Exit load - for 10% of the units upto completion of 12 months. o The First In First Out (FIFO) logic will be applied while selecting the units for redemption o Waiver of Exit load is calculated for each inflow transaction separately on FIFO basis and not on the total units through multiple inflows o The load free units from purchases made subsequent to the initial purchase will be available only after redeeming all units from the initial purchase All units redeemed /switched-out in excess of the 10% load free units will be subject to the below mentioned exit load. o 1.00% - if Units are redeemed/switched-out on or before 1 year from the date of allotment o NIL - if redeemed after 1 year from the date of allotment

    Expense Ratio Icon

    Expense Ratio :

    1.83% (inclusive of GST)

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    Tax Implication

    Withdrawal within 1 year:
    5% tax on gains

    Withdrawal after 1 year:
    10% tax on gains above 21 lakh per financial year

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    Fund Manager
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    CG
    Chandni Gupta
    She joined ICICI Prudential Asset Management Company Limited as Channel Manager in October 2012. Basis the enhancement in the responsibilities Ms. Gupta has been designated as Fund Manager with effect from April 2017 till date. Past Experience: ICICI Prudential Asset Management Company Limited - Dealer - Fixed Income - November 2013 to April 2017. ICICI Prudential Asset Management Company Limited - Channel Manager - October 2012 to October 2013. Morgan Stanley Investment Management from December 2007 to September 2012. HSBC Bank from September 2007 to November 2007. Standard Chartered Mutual Fund - June 2006 to August 2007.
    RK
    Rajasa Kakulavarapu
    She is responsible for equity research support and fund management. (Based at Chennai) Prior Assignments: Franklin Templeton Asset Management (India) Pvt. Ltd. (Since 2016 till date): AVP/Senior Research Analyst. Jefferies India Pvt. Ltd. (June 2011 to March 2016) Credit Suisse Securities (India) Pvt. Ltd. (May 2008 to June 2011)
    VS
    Venkatesh Sanjeevi
    Over 5 Years Experience: Prior to being appointed as a Fund Manager (Equity), Mr. Sanjeevi was a part of the Equity Research Team of Edelweiss Asset Management Ltd. Further, he has worked with Edelweiss Securities Ltd. in the Equity Research Function and prior to that, in Hindustan Unilever Ltd in the finance function.
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