Franklin India LIFE STAGE Fund of Funds THE 20S Plan Direct Growth

Scheme code: INF090I01HY0 NAV value: ₹ 0.0000 NAV date: 19 December, 2022
Fund option: Direct Fund type: Growth
Asset class: Other Asset category: FoF Domestic

Rolling returns

Summary

Duration Min Max Average XIRR (%) Category average XIRR (%)
1 year -100.00 37.36 4.28 22.14
3 year -100.00 17.74 8.80 12.77
5 year -100.00 13.52 4.82 13.04

Rolling return for 1 year

Average return: 4.28
Min Max Min-Max Max-Min Standard Deviation Mean From To
-100 4.72 9.46 -100 53.57 -46.46 12-2021 12-2022
2.69 0.6 6.35 -2.87 3.34 1.69 11-2021 11-2022
-1.54 -1.89 2.1 -5.39 2.65 -1.68 10-2021 10-2022
0.72 3.09 6.1 -2.14 3.03 1.94 09-2021 09-2022
5.48 5.4 8.99 2.01 2.47 5.47 08-2021 08-2022
0.28 4.8 7.1 -1.88 3.55 2.58 07-2021 07-2022
-0.78 3.36 6 -3.25 3.58 1.33 06-2021 06-2022
7.87 7.58 14.76 1.12 4.82 7.83 05-2021 05-2022
18.36 18.21 22.54 14.18 2.96 18.32 04-2021 04-2022
11.24 12.47 18.92 5.2 4.87 11.96 03-2021 03-2022
18.06 17.68 28.52 8.11 7.22 18.09 02-2021 02-2022
30.37 30.08 37.36 23.46 4.92 30.32 01-2021 01-2022

Rolling return for 3 year

Average return: 8.80
Min Max Min-Max Max-Min Standard Deviation Mean From To
-100 14.73 15.67 -100 57.6 -42.4 12-2019 12-2022
14.36 14.47 15.7 13.14 0.91 14.42 11-2019 11-2022
15.05 14.17 16.45 12.8 1.33 14.62 10-2019 10-2022
15.72 15.27 17.74 13.29 1.58 15.5 09-2019 09-2022
16.3 16.29 17.58 15.03 0.9 16.3 08-2019 08-2022
12.12 12.22 14.6 9.78 1.7 12.18 07-2019 07-2022
9.46 10.61 11.9 8.2 1.37 10.04 06-2019 06-2022
11.23 11.39 13.55 9.11 1.57 11.32 05-2019 05-2022
11.86 12.56 13.16 11.27 0.71 12.21 04-2019 04-2022
11.42 11.95 13.92 9.49 1.58 11.7 03-2019 03-2022
13.31 15.39 16.56 12.17 1.72 14.36 02-2019 02-2022
14.84 15.8 16.86 13.8 1.13 15.32 01-2019 01-2022

Rolling return for 5 year

Average return: 4.82
Min Max Min-Max Max-Min Standard Deviation Mean From To
-100 8.85 9.69 -100 54.64 -45.36 12-2017 12-2022
8.81 9.11 9.57 8.34 0.45 8.96 11-2017 11-2022
8.71 8.7 9.5 7.91 0.56 8.7 10-2017 10-2022
8.95 9.3 10.09 8.17 0.69 9.13 09-2017 09-2022
9.25 9.27 9.97 8.55 0.5 9.26 08-2017 08-2022
7.9 8.41 9.33 7 0.84 8.16 07-2017 07-2022
7.41 8.47 8.84 7.05 0.74 7.94 06-2017 06-2022
8.15 8.91 9.5 7.57 0.73 8.53 05-2017 05-2022
9.7 10.01 10.47 9.25 0.45 9.86 04-2017 04-2022
9.15 10.02 10.62 8.56 0.79 9.59 03-2017 03-2022
10.01 11.34 11.9 9.46 0.98 10.68 02-2017 02-2022
12.34 12.44 13.52 11.27 0.8 12.39 01-2017 01-2022