Franklin India Income Opportunities Fund Direct Growth

Scheme code: INF090I01JI9 NAV value: ₹ 26.5759 NAV date: 12 December, 2021
Fund option: Direct Fund type: Growth
Asset class: Debt Asset category: Medium Duration Fund

Rolling returns

Summary

Duration Min Max Average XIRR (%) Category average XIRR (%)
1 year -4.53 24.23 11.47 7.49
3 year 3.33 6.18 4.95 6.33
5 year 5.68 7.18 6.69 6.24

Rolling return for 1 year

Average return: 11.47
Min Max Min-Max Max-Min Standard Deviation Mean From To
16.36 13.91 16.46 13.81 1.28 15.14 12-2020 12-2021
19.28 16.14 20.07 15.37 2 17.72 11-2020 11-2021
21.51 19.42 22.24 18.7 1.45 20.47 10-2020 10-2021
22.18 21.7 24.23 19.69 1.61 21.95 09-2020 09-2021
21.59 15.06 22.55 14.15 3.76 18.34 08-2020 08-2021
14.6 9.27 15.55 8.38 3.16 11.95 07-2020 07-2021
10.53 10.13 12.17 8.52 1.3 10.34 06-2020 06-2021
12.51 10.98 13.81 9.7 1.55 11.75 05-2020 05-2021
10.61 4.95 12.71 2.99 3.98 7.82 04-2020 04-2021
3.82 2.35 6.04 0.21 2.13 3.11 03-2020 03-2021
0.64 0.23 1.92 -1.02 1.05 0.44 02-2020 02-2021
0.66 -3.36 1.9 -4.53 2.68 -1.33 01-2020 01-2021

Rolling return for 3 year

Average return: 4.95
Min Max Min-Max Max-Min Standard Deviation Mean From To
5.54 5.11 5.57 5.08 0.23 5.32 12-2018 12-2021
5.75 5.57 5.98 5.34 0.24 5.66 11-2018 11-2021
5.97 5.8 6.18 5.59 0.22 5.88 10-2018 10-2021
5.54 5.84 6.12 5.25 0.33 5.69 09-2018 09-2021
5.19 5.25 5.46 4.97 0.17 5.22 08-2018 08-2021
5.29 5.21 5.58 4.92 0.24 5.25 07-2018 07-2021
5.16 5.35 5.68 4.84 0.3 5.26 06-2018 06-2021
4.99 5.19 5.4 4.79 0.23 5.09 05-2018 05-2021
4.29 4.77 4.94 4.12 0.34 4.53 04-2018 04-2021
3.92 4.22 4.66 3.49 0.43 4.07 03-2018 03-2021
3.63 3.88 4.07 3.44 0.24 3.76 02-2018 02-2021
3.5 3.75 3.92 3.33 0.23 3.62 01-2018 01-2021

Rolling return for 5 year

Average return: 6.69
Min Max Min-Max Max-Min Standard Deviation Mean From To
6.76 6.68 6.78 6.66 0.05 6.72 12-2016 12-2021
6.86 6.72 7.01 6.58 0.16 6.79 11-2016 11-2021
6.92 6.91 7.05 6.78 0.1 6.92 10-2016 10-2021
6.82 6.97 7.17 6.62 0.2 6.9 09-2016 09-2021
6.87 6.84 7.03 6.67 0.13 6.85 08-2016 08-2021
6.98 6.87 7.15 6.69 0.17 6.92 07-2016 07-2021
6.86 7 7.18 6.69 0.18 6.93 06-2016 06-2021
6.87 6.94 7.11 6.69 0.15 6.9 05-2016 05-2021
6.69 6.88 7.09 6.48 0.23 6.78 04-2016 04-2021
6.48 6.72 6.93 6.27 0.25 6.6 03-2016 03-2021
6.21 6.09 6.48 5.83 0.23 6.15 02-2016 02-2021
5.78 5.94 6.04 5.68 0.14 5.86 01-2016 01-2021