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Franklin India Dynamic Asset Allocation Active Fund of Funds

Franklin Templeton Mutual Fund · Best Domestic Fund of Funds

NAV
₹160.50
-0.54% 1D
as of 01 Oct 2026

Performance

-1.87%CAGR
52-week rangePrev NAV ₹161.37
Latest ₹160.50
Low ₹155.4537th percentile of its 52-week rangeHigh ₹169.06

Scorecard

★★☆☆☆2/5 vs 75 of 152 FoF Domestic peers
  • Performance 60%
  • Risk 15%
  • Cost 10%
  • Downside 15%
How this is computed

Each verdict is computed from this fund's own metrics against its sub-category — the number behind it is shown, not a black-box rating. The stars weight the same ground 60/15/10/15 (performance/risk/cost/downside) across every fund in the peer group. Ranked within FoF Domestic (same plan and option). 75 of the 152 FoF Domestic funds in this cohort carry the full record the stars need, so they are the ones ranked against.

PerformanceBelow avg

3Y CAGR +6.68% · ranks 72 of 75 FoF Domestic funds

RiskLow

Volatility 6.8% vs 17.4% category avg

CostHigh

1.9% expense vs 0.7% category avg

ConsistencyHigh

96% of rolling 3Y windows were positive

Strengths & concerns

Generated from this fund's own numbers against its sub-category — each point names the figure behind it.

Strengths

  • Less volatile than its FoF Domestic peers (6.8% vs 17.4%)
  • Consistent — positive in 96% of rolling 3-year windows

Concerns

  • Trails the FoF Domestic average on 1M/3M/6M/1Y — 1Y by 13.85pp
  • 3-year return (+6.68%) trails the FoF Domestic average (+19.42%)
  • 5-year return (+8.53%) trails the FoF Domestic average (+12.66%)
  • Ranks #96 of 115 on 1-year return in its FoF Domestic cohort
  • Weaker risk-adjusted returns — Sharpe 0.03 below the FoF Domestic average of 0.66

Key Metrics

1.90%
Category 0.68%▲1.22%
—
Category —
0.03
Category 0.66▼0.63

Scheme Info

Definitions
Plan
Regular · Growth
None
Up to 10.00%
tiered — see the full terms
0.005%
SIP Inv.
Allowed
₹500
₹5,000
CRISIL Hybrid 50+50 - Moderate Index
03 Apr 2006

Period returns (<1Y, absolute — not annualized)

Definitions
-3.95%
-3.42%
+3.25%
-4.36%

Annualized returns (≥1Y — CAGR)

Definitions
-2.33%
+6.68%
+8.53%
+8.99%
+10.26%
Advanced metrics — risk and benchmark ratios

Fund vs category average (FoF Domestic)

PeriodFundCategory avg.Diff
1M abs-3.95%-3.40%-0.55%
3M abs-3.42%-1.44%-1.98%
6M abs+3.25%+4.75%-1.50%
1Y CAGR-2.33%+11.52%-13.85%
3Y CAGR+6.68%+19.42%-12.74%
5Y CAGR+8.53%+12.66%-4.13%

Category average across peers in FoF Domestic (151 of 152 carry a figure for at least one period), same plan and option, excluding this fund. Under-1-year figures are absolute; 1Y and beyond are annualised (CAGR).

Not sure what a figure means? The glossary explains every metric, and the methodology shows the formulas.

Category rank

Vs 152 peers in FoF Domestic

1Y return
-2.33%
Beats 16.7% · rank #96
3Y return
+6.68%
Beats 4.1% · rank #72
5Y return
+8.53%
Beats 34.6% · rank #35
Sharpe
0.03
Beats 4.1% · rank #72
Sortino
0.04
Beats 4.1% · rank #72

Backtest this fund

What a SIP or one-time investment would have grown to over this fund’s real NAV history.

Period
Invested
₹6.00L
Current value
₹7.06L
Absolute
+17.62%
XIRR
+6.63%
Value vs. invested
ValueInvested

60 monthly installments of ₹10,000 into Franklin India Dynamic Asset Allocation Active Fund of Funds, valued at the latest NAV. XIRR annualizes for each installment’s timing.

Calendar-year returns

What the fund actually returned in each year, not the smoothed average.

YearFundNifty 500 TRIDiff
2026part-4.36%-7.18%+2.82%
2025+5.31%+7.94%-2.63%
2024+12.88%+16.43%-3.55%
2023+21.61%+27.43%-5.82%
2022+7.11%+4.34%+2.77%
2021+36.25%+31.59%+4.66%
2020-7.69%+18.33%-26.02%
2019+5.79%+8.95%-3.16%
2018+4.85%-2.33%+7.18%
2017+15.49%+37.35%-21.86%

January–December, from this fund's NAV history. Absolute return, not annualised. “part” marks a year the fund didn't run end to end — its first year, the current year so far, or one it stopped reporting in; those years show no benchmark comparison.

Recent changes

Expense-ratio, fund-manager, exit-load and minimum-investment changes we've picked up in the last 30 days.

  • Expense ratio up: 1.83% → 1.90%
    30 Sep 2026
History points
4,942
Expense ratio
1.90%
AUM
₹1,230Cr
Portfolio turnover
45%
Exit load
In respect of each purchase of Units - • NIL Exit load – for 10% of the units upto completion of 12 months. o The “First In First Out (FIFO)” logic will be applied while selecting the units for redemption o Waiver of Exit load is calculated for each inflow transaction separately on FIFO basis and not on the total units through multiple inflows o The load free units from purchases made subsequent to the initial purchase will be available only after redeeming all units from the initial purchase • All units redeemed /switched-out in excess of the 10% load free units will be subject to the below mentioned exit load. o 1.00% - if Units are redeemed/switched-out on or before 1 year from the date of allotment o Nil - if redeemed after 1 year from the date of allotment

Taxation

Taxed as non-equity

This is a non-equity fund — a fund-of-funds, gold/silver, international or balanced-hybrid scheme. It isn't equity-oriented, but since FY 2025-26 it's no longer taxed like a pure-debt fund either: gains held over 2 years get the 12.5% long-term rate; shorter holdings are taxed at your income-tax slab rate.

Short-term
30%
Held under 2 years

Added to your income at your slab rate

Long-term (LTCG)
12.5%
Held 2 years or more

No indexation, no ₹1.25 L exemption

Your income-tax slab

Sets the short-term (slab-rate) figure above.

Applies to capital gains on redemption. Excludes IDCW/dividend tax, STT, surcharge and cess, and pre-2018 equity grandfathering. For research only — consult a tax advisor before filing.

Asset allocation

As on 31 Aug 2026 · AMC disclosure
  • Other97.78%
  • Cash & Equivalents2.22%
Franklin Templeton Mutual Fund logo

AMC Profile

Franklin Templeton Mutual Fund is the Indian arm of Franklin Resources, the US manager, and has operated here since 1996. In April 2020 it wound up six of its Indian debt schemes — the largest such closure the industry has seen — and returned the money to unitholders over the following years.

Launched
18 Feb 1996
Total AUM
₹1,26,017Cr+2.0% QoQ
Avg AUM · April - June 2026

Fund Managers

RKRajasa KakulavarapuManaging since 07 Feb 2022
Role

Vice President & Portfolio Manager

Education

B.Tech. (ECE) from NIT, Jaipur and MBA from Indian Institute support and of Management, Ahmedabad

Experience

Vice President & Sr Research Analyst & Portfolio Manager She is responsible for equity research support and fund management. (based at Chennai) Prior Assignments: • Franklin Templeton Asset Management (India) Pvt. Ltd. (Since 2016 till date): AVP/Senior Research Analyst. • Jefferies India Pvt. Ltd. (June 2011 to March 2016) • Credit Suisse Securities (India) Pvt. Ltd. (May 2008 to June 2011) Vice President & Portfolio Manager, Fixed Income

All schemes Rajasa Kakulavarapu runs →
VSVenkatesh SanjeeviManaging since 04 Oct 2024
Role

Senior Vice President & Portfolio Manager

Education

PGDM IIM- Ahmedabad CA B.Com

Experience

(based at Chennai) He is responsible for Fund Management. Prior Assignments: Pictet Asset Management, London (April 2015- October 2021) Responsible for co- leading of Pictet Indian Equities fund. ICICI Prudential Asset Management, Mumbai (March 2010- February 2015) Responsible for managing ICICI Prudential Banking & Financial Services Fund, MIP 25, and few other closed ended funds. AVP/ Senior Research Analyst, Emerging Markets

All schemes Venkatesh Sanjeevi runs →
CGChandni GuptaManaging since 13 Mar 2026
Role

Vice President- Portfolio Manager, Fixed Income

Education

CFA Program, CFA institute USA

Experience

Vice President- Portfolio Manager, Fixed Income (based in Mumbai). She is responsible for Portfolio Management -Fixed Income. Prior Assignments (Last 10 years) ICICI Prudential Mutual Fund- AVP-Fund Manager, Fixed Income - October 2012-February 2024. Chief Investment Officer – Fixed Income (based at Mumbai). He is responsible for overseeing Fixed Income Fund Management. With effect from August 1, 2023. Prior assignments: • ICICI Prudential Asset Management Co. Ltd - Chief Investment Officer- Fixed Income - September 2012 to July 2023 • Standard Chartered Bank – Head Primary Dealer – November 2009 to September 2012. • ICICI Prudential Asset Management Co. Ltd - Senior Fund Manager – July 2004 to November 2009. • Franklin Templeton Asset Management Co. (I) Pvt. Ltd - Asst. Vice President – Fixed Income - October 2002 to July 2004. Vice President- Portfolio Manager, Fixed Income (based in Mumbai).

All schemes Chandni Gupta runs →

Fund managers from the AMC's filed Scheme Summary — its most recent filing for this scheme. Benchmark and dealing terms from it and this scheme's SEBI-filed Scheme Information Document on AMFI. Each manager's qualifications and role are reconciled across every filing this fund house makes for them, including its Statement of Additional Information. Total AUM via AMFI.

Returns and risk are computed from NAV history and may differ slightly from other portals due to methodology (rolling vs point-to-point, dividend treatment). For research only — not investment advice.

Frequently asked questions

What is the NAV of Franklin India Dynamic Asset Allocation Active Fund of Funds?

As of 01 Oct 2026, the NAV of Franklin India Dynamic Asset Allocation Active Fund of Funds is ₹160.50 per unit. NAV (net asset value) is the fund's per-unit price, published once each business day.

What returns has Franklin India Dynamic Asset Allocation Active Fund of Funds delivered?

Franklin India Dynamic Asset Allocation Active Fund of Funds has returned -2.33% over 1 year, +6.68% per year over 3 years, +8.53% per year over 5 years and +10.26% per year since inception. Figures beyond one year are annualised (CAGR) and are computed from AMFI NAV history, so they may differ slightly from other portals.

What is the expense ratio of Franklin India Dynamic Asset Allocation Active Fund of Funds?

Franklin India Dynamic Asset Allocation Active Fund of Funds charges an expense ratio of 1.90% per year. This annual fee is already deducted from the NAV, so the returns you see are net of it.

What are the top holdings of Franklin India Dynamic Asset Allocation Active Fund of Funds?

Franklin India Dynamic Asset Allocation Active Fund of Funds's largest holdings are Franklin India Flexi Cap Fund-Direct Growth Plan (Formerly known as Franklin India Equity Fund) (59.8%), Franklin India Corporate Bond Fund - Direct Plan - Growth (20.5%), ICICI Prudential Short Term Fund Direct - Growth Plan (10.1%), Franklin India Banking & Psu Debt Fund - Direct Plan - Growth (7.4%) and Franklin India Dynamic Accrual Fund- Segregated Portfolio 3- 9.50% Yes Bank Ltd CO 23 Dec 2021-Direct-Growth Plan (0.0%). Holdings are disclosed monthly and change over time.

How risky is Franklin India Dynamic Asset Allocation Active Fund of Funds?

Franklin India Dynamic Asset Allocation Active Fund of Funds is rated very high on SEBI's risk-o-meter, its trailing-3Y volatility (annualised) is 6.8% and its worst peak-to-trough fall in our sample was -35.3%. Higher volatility means the NAV swings more; the drawdown shows how far it has fallen from a peak historically.

What does the Sharpe ratio of 0.03 mean?

The Sharpe ratio is return earned per unit of total risk, above a 6.5% risk-free rate. Franklin India Dynamic Asset Allocation Active Fund of Funds's 0.03 means it has rewarded its volatility with excess return. Higher is better.

What is the benchmark of Franklin India Dynamic Asset Allocation Active Fund of Funds?

Franklin India Dynamic Asset Allocation Active Fund of Funds is benchmarked against the CRISIL Hybrid 50+50 - Moderate Index. Its alpha and beta on this page are measured against that index.

Who manages Franklin India Dynamic Asset Allocation Active Fund of Funds?

Franklin India Dynamic Asset Allocation Active Fund of Funds is managed by Rajasa Kakulavarapu, Venkatesh Sanjeevi and Chandni Gupta at Franklin Templeton.

How is Franklin India Dynamic Asset Allocation Active Fund of Funds taxed?

Franklin India Dynamic Asset Allocation Active Fund of Funds is a non-equity fund (a fund-of-funds, gold, international or balanced-hybrid scheme). Since FY 2025-26 it's no longer taxed like a pure-debt fund: gains on units held more than 2 years are long-term, taxed at 12.5% (no indexation, no ₹1.25 lakh exemption); units held 2 years or less are taxed at your income-tax slab rate.