Current Navs For franklin Funds September 10, 2010
- Code
- Scheme Name
- Date
- NAV
- Portfolios
- 1037
- Franklin India Index Tax Fund
- 09-Sep-2010
- 43.25

- 525
- Franklin India Taxshield-Dividend
- 09-Sep-2010
- 34.28

- 526
- Franklin India Taxshield-Growth
- 09-Sep-2010
- 208.50








