Franklin India Focused Equity Fund - Growth Plan

(Erstwhile Franklin India High Growth Companies Fund - Growth Plan)

Category: Equity: Focused
Launch Date: 05-07-2007
Asset Class: Equity
Benchmark: NIFTY 500 TRI
Expense Ratio: 1.76% As on (30-12-2024)
Status: Open Ended Schemes
Minimum Investment: 5000.0
Minimum Topup: 1000.0
Total Assets: 12,044.23 Cr As on (31-12-2024)
Turn over: 26.36%
NAV as on 14-01-2025

99.989

0.85 (0.8496%)

CAGR Since Inception

14.07%

NIFTY 500 TRI 12.44%

PERFORMANCE of Franklin India Focused Equity Fund - Growth Plan

Scheme Performance (%)

Data as on - 14-01-2025

Yearly Performance (%)

Fund Managers

Ajay Argal, Varun Sharma, Sandeep Manam

Investment Objective

The fund seeks to achieve capital appreciation through investments in Indian companies/sectors with high growth rates or potential. It will focus on companies offering the best trade-off between growth, risk and valuation. The fund managers will follow an active investment strategy and will be focusing on rapid growth companies which will be selected based on growth, measures such as Enterprise value, growth rate, price/earnings/growth, forwardprice/sales, and discounted EPS.

NAV & Lumpsum details( Invested amount 1,00,000)

Show All Monthly Lumpsum Returns
NAV Date NAV Units Market
Value
Returns
(%)
26-07-2007 10.0 10000.0 100000 0.0 %
27-08-2007 9.6831 - 96831 -3.17 %
26-09-2007 10.8781 - 108781 8.78 %
26-10-2007 12.4206 - 124206 24.21 %
26-11-2007 12.5363 - 125363 25.36 %
26-12-2007 13.6776 - 136776 36.78 %
28-01-2008 12.3411 - 123411 23.41 %
26-02-2008 11.4648 - 114648 14.65 %
26-03-2008 9.7148 - 97148 -2.85 %
28-04-2008 10.3911 - 103911 3.91 %
26-05-2008 9.9125 - 99125 -0.88 %
26-06-2008 8.6874 - 86874 -13.13 %
28-07-2008 8.4687 - 84687 -15.31 %
26-08-2008 8.5645 - 85645 -14.36 %
26-09-2008 7.8337 - 78337 -21.66 %
27-10-2008 5.3356 - 53356 -46.64 %
26-11-2008 5.3593 - 53593 -46.41 %
26-12-2008 5.6941 - 56941 -43.06 %
27-01-2009 5.327 - 53270 -46.73 %
26-02-2009 5.1554 - 51554 -48.45 %
26-03-2009 5.5591 - 55591 -44.41 %
27-04-2009 6.6345 - 66345 -33.66 %
26-05-2009 8.2061 - 82061 -17.94 %
26-06-2009 8.8874 - 88874 -11.13 %
27-07-2009 9.4413 - 94413 -5.59 %
26-08-2009 9.9525 - 99525 -0.47 %
29-09-2009 10.5792 - 105792 5.79 %
26-10-2009 10.8569 - 108569 8.57 %
26-11-2009 11.0836 - 110836 10.84 %
29-12-2009 11.7332 - 117332 17.33 %
27-01-2010 11.337 - 113370 13.37 %
26-02-2010 11.2575 - 112575 12.57 %
26-03-2010 12.2654 - 122654 22.65 %
26-04-2010 12.5159 - 125159 25.16 %
26-05-2010 11.1701 - 111701 11.7 %
28-06-2010 12.0304 - 120304 20.3 %
26-07-2010 12.5639 - 125639 25.64 %
26-08-2010 13.0672 - 130672 30.67 %
27-09-2010 14.1501 - 141501 41.5 %
26-10-2010 14.2937 - 142937 42.94 %
26-11-2010 13.3329 - 133329 33.33 %
27-12-2010 13.2249 - 132249 32.25 %
27-01-2011 12.4234 - 124234 24.23 %
28-02-2011 11.6581 - 116581 16.58 %
28-03-2011 12.4236 - 124236 24.24 %
26-04-2011 13.2527 - 132527 32.53 %
26-05-2011 12.3759 - 123759 23.76 %
27-06-2011 12.6859 - 126859 26.86 %
26-07-2011 12.7922 - 127922 27.92 %
26-08-2011 10.9006 - 109006 9.01 %
26-09-2011 11.1009 - 111009 11.01 %
28-10-2011 11.7693 - 117693 17.69 %
28-11-2011 10.8801 - 108801 8.8 %
26-12-2011 10.3349 - 103349 3.35 %
27-01-2012 11.3555 - 113555 13.55 %
27-02-2012 11.7299 - 117299 17.3 %
26-03-2012 11.8384 - 118384 18.38 %
26-04-2012 12.0183 - 120183 20.18 %
28-05-2012 11.5918 - 115918 15.92 %
26-06-2012 11.6503 - 116503 16.5 %
26-07-2012 11.8735 - 118735 18.73 %
27-08-2012 12.315 - 123150 23.15 %
26-09-2012 13.098 - 130980 30.98 %
26-10-2012 13.3729 - 133729 33.73 %
26-11-2012 13.7618 - 137618 37.62 %
26-12-2012 14.4482 - 144482 44.48 %
28-01-2013 14.792 - 147920 47.92 %
26-02-2013 14.0191 - 140191 40.19 %
26-03-2013 13.6652 - 136652 36.65 %
26-04-2013 13.996 - 139960 39.96 %
27-05-2013 14.4188 - 144188 44.19 %
26-06-2013 13.5708 - 135708 35.71 %
26-07-2013 13.8887 - 138887 38.89 %
26-08-2013 13.1121 - 131121 31.12 %
26-09-2013 14.2523 - 142523 42.52 %
28-10-2013 14.7804 - 147804 47.8 %
26-11-2013 15.0378 - 150378 50.38 %
26-12-2013 15.8884 - 158884 58.88 %
27-01-2014 15.1974 - 151974 51.97 %
26-02-2014 15.7495 - 157495 57.49 %
26-03-2014 16.8005 - 168005 68.01 %
28-04-2014 17.6765 - 176765 76.77 %
26-05-2014 19.4277 - 194277 94.28 %
26-06-2014 21.216 - 212160 112.16 %
28-07-2014 22.1673 - 221673 121.67 %
26-08-2014 23.9218 - 239218 139.22 %
26-09-2014 24.5664 - 245664 145.66 %
27-10-2014 24.9711 - 249711 149.71 %
26-11-2014 27.3639 - 273639 173.64 %
26-12-2014 27.9805 - 279805 179.81 %
27-01-2015 30.4492 - 304492 204.49 %
26-02-2015 29.4171 - 294171 194.17 %
26-03-2015 29.1975 - 291975 191.97 %
27-04-2015 28.8239 - 288239 188.24 %
26-05-2015 29.5178 - 295178 195.18 %
26-06-2015 29.7001 - 297001 197.0 %
27-07-2015 29.8814 - 298814 198.81 %
26-08-2015 28.4567 - 284567 184.57 %
28-09-2015 28.4475 - 284475 184.47 %
26-10-2015 29.4991 - 294991 194.99 %
26-11-2015 29.454 - 294540 194.54 %
28-12-2015 28.8579 - 288579 188.58 %
27-01-2016 26.6191 - 266191 166.19 %
26-02-2016 24.4559 - 244559 144.56 %
28-03-2016 26.8375 - 268375 168.38 %
26-04-2016 28.861 - 288610 188.61 %
26-05-2016 28.5415 - 285415 185.41 %
27-06-2016 29.271 - 292710 192.71 %
26-07-2016 31.1716 - 311716 211.72 %
26-08-2016 31.45 - 314500 214.5 %
26-09-2016 31.939 - 319390 219.39 %
26-10-2016 32.4087 - 324087 224.09 %
28-11-2016 30.6441 - 306441 206.44 %
26-12-2016 29.4743 - 294743 194.74 %
27-01-2017 32.4651 - 324651 224.65 %
27-02-2017 33.8722 - 338722 238.72 %
27-03-2017 33.9138 - 339138 239.14 %
26-04-2017 35.764 - 357640 257.64 %
26-05-2017 36.3293 - 363293 263.29 %
27-06-2017 35.7912 - 357912 257.91 %
26-07-2017 37.6829 - 376829 276.83 %
28-08-2017 36.8899 - 368899 268.9 %
26-09-2017 36.3655 - 363655 263.66 %
26-10-2017 39.4428 - 394428 294.43 %
27-11-2017 40.9042 - 409042 309.04 %
26-12-2017 41.6769 - 416769 316.77 %
29-01-2018 42.0333 - 420333 320.33 %
26-02-2018 39.6666 - 396666 296.67 %
26-03-2018 37.6229 - 376229 276.23 %
26-04-2018 37.5551 - 375551 275.55 %
28-05-2018 38.4418 - 384418 284.42 %
26-06-2018 37.8995 - 378995 279.0 %
26-07-2018 38.4839 - 384839 284.84 %
27-08-2018 40.1305 - 401305 301.3 %
26-09-2018 37.7816 - 377816 277.82 %
26-10-2018 34.6153 - 346153 246.15 %
26-11-2018 37.3502 - 373502 273.5 %
26-12-2018 37.8222 - 378222 278.22 %
28-01-2019 37.2588 - 372588 272.59 %
26-02-2019 37.3689 - 373689 273.69 %
26-03-2019 40.6245 - 406245 306.25 %
26-04-2019 41.7882 - 417882 317.88 %
27-05-2019 43.4545 - 434545 334.55 %
26-06-2019 42.5591 - 425591 325.59 %
26-07-2019 40.5125 - 405125 305.12 %
26-08-2019 38.2201 - 382201 282.2 %
26-09-2019 40.0105 - 400105 300.11 %
29-10-2019 40.5356 - 405356 305.36 %
26-11-2019 42.1482 - 421482 321.48 %
26-12-2019 41.7117 - 417117 317.12 %
27-01-2020 43.0215 - 430215 330.22 %
26-02-2020 40.9519 - 409519 309.52 %
26-03-2020 28.7506 - 287506 187.51 %
27-04-2020 31.7168 - 317168 217.17 %
26-05-2020 31.0995 - 310995 211.0 %
26-06-2020 36.1699 - 361699 261.7 %
27-07-2020 36.0862 - 360862 260.86 %
26-08-2020 38.1735 - 381735 281.73 %
28-09-2020 35.7025 - 357025 257.03 %
26-10-2020 37.7079 - 377079 277.08 %
26-11-2020 42.9243 - 429243 329.24 %
28-12-2020 46.3699 - 463699 363.7 %
27-01-2021 47.5538 - 475538 375.54 %
26-02-2021 53.2971 - 532971 432.97 %
26-03-2021 51.8476 - 518476 418.48 %
26-04-2021 51.8162 - 518162 418.16 %
26-05-2021 57.5794 - 575794 475.79 %
28-06-2021 58.8721 - 588721 488.72 %
26-07-2021 60.6419 - 606419 506.42 %
26-08-2021 60.2256 - 602256 502.26 %
27-09-2021 65.2712 - 652712 552.71 %
26-10-2021 67.9713 - 679713 579.71 %
26-11-2021 64.7681 - 647681 547.68 %
27-12-2021 64.0922 - 640922 540.92 %
27-01-2022 66.445 - 664450 564.45 %
28-02-2022 63.3749 - 633749 533.75 %
28-03-2022 63.7988 - 637988 537.99 %
26-04-2022 64.4799 - 644799 544.8 %
26-05-2022 60.8954 - 608954 508.95 %
27-06-2022 60.0586 - 600586 500.59 %
26-07-2022 64.2284 - 642284 542.28 %
26-08-2022 67.8763 - 678763 578.76 %
26-09-2022 67.2941 - 672941 572.94 %
27-10-2022 70.4941 - 704941 604.94 %
28-11-2022 72.4271 - 724271 624.27 %
26-12-2022 70.686 - 706860 606.86 %
27-01-2023 69.5847 - 695847 595.85 %
27-02-2023 67.9316 - 679316 579.32 %
27-03-2023 66.0455 - 660455 560.45 %
26-04-2023 68.7441 - 687441 587.44 %
26-05-2023 72.0865 - 720865 620.87 %
26-06-2023 74.5948 - 745948 645.95 %
26-07-2023 78.7775 - 787775 687.77 %
28-08-2023 78.8111 - 788111 688.11 %
26-09-2023 79.7594 - 797594 697.59 %
26-10-2023 77.1012 - 771012 671.01 %
28-11-2023 81.4941 - 814941 714.94 %
26-12-2023 86.7254 - 867254 767.25 %
29-01-2024 89.1243 - 891243 791.24 %
26-02-2024 92.5727 - 925727 825.73 %
26-03-2024 93.3184 - 933184 833.18 %
26-04-2024 96.4931 - 964931 864.93 %
27-05-2024 99.8234 - 998234 898.23 %
26-06-2024 105.2612 - 1052612 952.61 %
26-07-2024 107.9839 - 1079839 979.84 %
26-08-2024 109.6589 - 1096589 996.59 %
26-09-2024 114.8739 - 1148739 1048.74 %
28-10-2024 105.7659 - 1057659 957.66 %
26-11-2024 106.0043 - 1060043 960.04 %
26-12-2024 105.2337 - 1052337 952.34 %
14-01-2025 99.989 - 999890 899.89 %

RETURNS CALCULATOR for Franklin India Focused Equity Fund - Growth Plan

Growth of 10000 In SIP (Fund vs Benchmark)

Amount :
Period :
Start :
End :

Growth of 10000 In LUMPSUM (Fund vs Benchmark)

Amount :
Start :

Rolling Returns

Rolling returns are the annualized returns of the scheme taken for a specified period (rolling returns period) on every day/week/month and taken till the last day of the duration. In this chart we are showing the annualized returns over the rolling returns period on every day from the start date and comparing it with the benchmark. Rolling returns is the best measure of a fund's performance. Trailing returns have a recency bias and point to point returns are specific to the period in consideration. Rolling returns, on the other hand, measures the fund's absolute and relative performance across all timescales, without bias.

Riskometer

riskometer

Key Performance and Risk Statistics of Franklin India Focused Equity Fund - Growth Plan

Key Statistics Volatility Sharpe Ratio Alpha Beta Yield to Maturity Average Maturity
Franklin India Focused Equity Fund - Growth Plan 11.81 0.77 2.6 0.9 - -
Equity: Focused - - - - - -

PEER COMPARISION of Franklin India Focused Equity Fund - Growth Plan

Amount :
Start :
End :
Period
Data as on - 14-01-2025
Scheme Name Launch
Date
1-Year
Ret (%)
2-Yrs
Ret (%)
3-Yrs
Ret (%)
5-Yrs
Ret (%)
10-Yrs
Ret (%)
Franklin India Focused Equity Fund - Growth Plan 05-07-2007 11.82 18.41 13.3 18.33 13.25
Invesco India Focused Fund - Growth 08-09-2020 26.64 34.24 16.21 0.0 0.0
BANDHAN Focused Equity Fund - Regular Plan - Growth 16-03-2006 21.63 28.06 13.69 16.63 12.04
HDFC Focused 30 Fund - GROWTH PLAN 05-09-2004 18.6 25.08 20.79 21.44 13.6
ICICI Prudential Focused Equity Fund - Growth 05-05-2009 18.07 24.5 16.35 22.1 13.42
Canara Robeco Focused Equity Fund - Regular Plan - Growth Option 05-05-2021 16.7 21.43 12.81 0.0 0.0
Edelweiss Focused Fund - Regular Plan - Growth 26-07-2022 14.88 23.04 0.0 0.0 0.0
ITI Focused Equity Fund - Regular Plan - Growth 19-06-2023 14.79 0.0 0.0 0.0 0.0
Mahindra Manulife Focused Fund - Regular Plan - Growth 01-11-2020 13.84 23.31 15.56 0.0 0.0
DSP Focus Fund - Regular Plan - Growth 10-06-2010 13.7 24.56 12.26 14.05 11.69

PORTFOLIO ANALYSIS of Franklin India Focused Equity Fund - Growth Plan

Asset Allocation (%)

Allocation Percentage (%)

Market Cap Distribution

Small Cap

5.18%

Others

4.57%

Large Cap

75.33%

Mid Cap

14.93%

Total

100%