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    Franklin India Multi-Factor Fund - Regular (IDCW) - Reinvestment

    Equity

    Sectoral / Thematic

    Franklin India Multi-Factor Fund - Regular (IDCW) - Reinvestment is a Sectoral / Thematic mutual fund. Currently it has a NAV of ₹9.56 as of 10 Jul 2026. Investors can start with a minimum SIP of ₹ 500.0.

    Franklin India Multi-Factor Fund - Regular (IDCW) - Reinvestment

    Equity · Sectoral / Thematic

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    Total Value : ₹5,434

    When you invest ₹100 over 3 years

    Returns%

    12.50% annually for last 3 years

    Invested Gains

    Similar to this Mutual Fund

    Min. SIP Amount
    ₹1,000
    1Y Returns
    153.58% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    13.5% p.a
    Min. SIP Amount
    ₹1,000
    1Y Returns
    8.05% p.a
    Other Information
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    Fund Age Icon

    Fund Age :

    0 years

    AUM Icon

    AUM :

    580.63 Cr.

    Lock-in Period Icon

    Lock-in Period :

    0

    Exit Load Icon

    Exit Load :

    In respect of each purchase of Units Upto 10% of the Units may be redeemed without any exit load within 1 year from the date of allotment. Any redemption in excess of the above limit shall be subject to the following exit load: 0.50 % - if redeemed on or before 1 year from the date of allotment NIL - if redeemed after 1 year from the date of allotment.

    Expense Ratio Icon

    Expense Ratio :

    2.69% (inclusive of GST)

    Tax Icon

    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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    AJ
    Arihant Jain
    Portfolio Manager/Senior Investment Analyst-Franklin Templeton Services (India) Pvt Ltd (based in Mumbai 2022-2025) Daily oversight of live portfolios; track quantitative model outputs and identify significant drifts or anomalies, adjusting strategies as necessary to maintain alignment with investment objectives. Partner with traders to ensure timely and efficient execution of trades, minimizing transaction costs and market impact. Work closely with Compliance and Back Office functions to ensure portfolios operate within regulatory frameworks and adhere to internal fund guidelines. Design solutions and the management of data processes for investment systems and implementation of quantitative models geared to factor based (traditional and ESG) quantitative equities, risk premia, multi asset portfolios and/or Volatility management Work with Investment Platform team and other technology professionals both externally and internally Work with Research, Global Portfolio Managers, and Investment Platform teams to design products and custom solutions for institutional portfolios Work cross-functionally with investment professionals to refine and improve existing investment processes, enhancing overall quality, performance, and efficiency. Helping in providing thought leadership in the portfolio construction, traditional quantitative, ESG and alternative factors Work on conducting and delivering top notch research projects with applications to quantitative strategies Senior Associate - MSCI (based in Mumbai 2020-2022) Involved in Quantitative research that supports new and existing indexes, including factor indexes. Co-authored two paper - o Value's Lost Decade: Learning from Value Strategies' Behavior over Two Contrasting Decades o Managing Portfolios in a Low Rates Age Analyst - Morgan Stanley (based in Mumbai 2018-2020) Involved in developing market neutral strategy for the equity market, to extract alpha. Quant Research Analyst - Quant One (based in Kolkata 2017-2018) Devised a strategy based on long-term momentum indicator and optimized the results using machine learning to effectively capture alpha in the market.
    MJ
    Mukesh Jain
    Senior Manager - Portfolio Manager/ Equity Trader (based at Chennai). Prior Assignments (Last 10 years): EQUIRUS - AVP, Equity - September 2018 - June 2025. Anand Rathi - Institutional Derivatives Dealer - January 2017 - August 2018. Religare Securities - Deputy Manager - August 2011- December 2016.
    Risk & Rating
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    Value Research Rating
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    0★
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    Funds Name
    1Y Returns
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    13.88% p.a
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