Yahoo India Web Search

Search results

  1. Access the latest fund documents and reports with ease. Download important documents for your investments and stay informed about our mutual fund offerings.

  2. Investors have access to historical NAVs and performance data for all Franklin Templeton mutual fund schemes. Watchlist Fund Watchlist helps monitor and track chosen funds for performance and investment opportunities.

  3. The below forms are for Franklin Templeton funds. Do NOT use these forms for Western Asset Money funds.

  4. The Value / Flex STP Enrolment Form complete in all respects, should be submitted at any of the Investor Service Centres (ISCs) of Franklin Templeton Mutual Fund.

  5. Application Forms & Documents. Please ensure you have read an up-to-date version of the Key Information Document for each fund share class you wish to invest in, alongside the relevant Supplementary Information Document, before returning your application or dealing form.

  6. Forms & Applications. Looking for a specific form? Browse our forms and quickly find the items you need. Getting Started. How Can We Help? We have the tools, resources, and services to help you reach your financial goals.

  7. Aug 30, 2021 · Access forms here for transactions as an existing or prospective Franklin Templeton 529 College Savings Plan account owner. The Future of Investing: Future of money—Expanding number of assets able to perform the functions of “money” could change the future of payments and the scope of investment management

  8. Oct 28, 2024 · Download Franklin Templeton Mutual Fund KIM, Application Forms, Factsheets, Scheme Information Documents, Monthly Portfolios, Service Form for Investors and Distributers.

  9. I am a first time investor in mutual funds (Rs.150 will be deducted). I am an existing mutual funds investor (Rs.100 will be deducted). Existing Unitholders (Please provide the following details in full; Please refer Instruction 2)

  10. Franklin India Balanced Advantage Fund (FIBAF) **The above scheme risk-o-meter assigned during the New Fund offer (NFO) is based on the scheme characteristics. The same shall be updated in accordance with provisions of SEBI circular dated October 5, 2020 on Product labelling in mutual fund schemes on an ongoing basis.