Franklin Templeton Mutual FundEquity Scheme - Sectoral/ Thematic0.8 years
The scheme seeks to generate long term capital appreciation by investing in equity and equity related instruments based on multi-factor quantitative investment strategy.
NAV
Path not in current snapshots
n/a
Trailing CAGR and simulated monthly SIP XIRR from daily NAV. Category comparison uses the median of comparable share classes in the peer set.
Trailing CAGR
Point-to-point, calendar-day annualized
SIP XIRR
Equal monthly instalments to latest NAV
Peak to trough from a running NAV high. Move across the path to read a date.
Drawdown
Path not in current snapshots
n/a
2 Jan 2026 – open
Trough 31 Mar 2026 · not recovered
-13.8%
28 Nov 2025 – 22 Dec 2025
Trough 10 Dec 2025 · recovered in 12 days
-1.6%
23 Dec 2025 – 31 Dec 2025
Trough 29 Dec 2025 · recovered in 2 days
-0.9%
0–100 reads of named metrics. The mean is unweighted and only uses dimensions with data.
Returns
n/a
Vs category
n/a
Consistency
n/a
Risk-adjusted
0
Drawdown
66
Mean
n/a
31 Aug 2026 · 97 holdings · top 10 are 33.7%.
HDFC Bank Ltd
Financial
5.9%
ICICI Bank Ltd
Financial
5.0%
Reliance Industries Ltd
Energy & Utilities
4.3%
Larsen & Toubro Ltd
Industrials
3.5%
Bharti Airtel Ltd
Technology
2.9%
Quantitative read of the live evidence. An explanation can only restate what is already here.
As of 15 Sept 2026
Engine status
Insufficient history
History still thin for a status read
Why this status
No status reasons yet. History is still thin.
Supporting reads
No supporting reads in the current evidence set.
Same-category peers with enough history to inspect beside this fund.
Baroda BNP Paribas Mutual Fund
Aditya Birla Sun Life Mutual Fund
Caveat: Deeper drawdown
Axis Mutual Fund
Caveat: Deeper drawdown
ICICI Prudential Mutual Fund
Caveat: Deeper drawdown
Kotak Mahindra Mutual Fund
Caveat: Deeper drawdown
Franklin Templeton Mutual FundEquity Scheme - Sectoral/ Thematic0.8 years
The scheme seeks to generate long term capital appreciation by investing in equity and equity related instruments based on multi-factor quantitative investment strategy.
NAV
15 Sept 2026 · -7.7% over 1Y
9.2327
Trailing CAGR and simulated monthly SIP XIRR from daily NAV. Category comparison uses the median of comparable share classes in the peer set.
Trailing CAGR
Point-to-point, calendar-day annualized
SIP XIRR
Equal monthly instalments to latest NAV
Peak to trough from a running NAV high. Move across the path to read a date.
Drawdown
15 Sept 2026
-9.2%
2 Jan 2026 – open
Trough 31 Mar 2026 · not recovered
-13.8%
28 Nov 2025 – 22 Dec 2025
Trough 10 Dec 2025 · recovered in 12 days
-1.6%
23 Dec 2025 – 31 Dec 2025
Trough 29 Dec 2025 · recovered in 2 days
-0.9%
0–100 reads of named metrics. The mean is unweighted and only uses dimensions with data.
Returns
n/a
Vs category
n/a
Consistency
n/a
Risk-adjusted
0
Drawdown
66
Mean
n/a
31 Aug 2026 · 97 holdings · top 10 are 33.7%.
HDFC Bank Ltd
Financial
5.9%
ICICI Bank Ltd
Financial
5.0%
Reliance Industries Ltd
Energy & Utilities
4.3%
Larsen & Toubro Ltd
Industrials
3.5%
Bharti Airtel Ltd
Technology
2.9%
Quantitative read of the live evidence. An explanation can only restate what is already here.
As of 15 Sept 2026
Engine status
Insufficient history
History still thin for a status read
Why this status
No status reasons yet. History is still thin.
Supporting reads
No supporting reads in the current evidence set.