Check Franklin India Prima Fund NAV Today | Latest Updates
The NAV (Net Asset Value) of the Franklin India Prima Fund – Direct Plan as of September 3, 2024, is ₹3,103.1482(Value Research, ICICIDirect). This fund focuses on medium-sized companies, aiming for medium to long-term capital appreciation. It’s considered suitable for investors with a long-term horizon of at least seven years, as it can provide returns …
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