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Franklin India Medium to Long Duration Fund Portfolio Analysis

Portfolio Asset Allocation

as on Oct 31, 2025
SOV 43.2333851 %
AAA 28.66859583 %
AA 15.22097977 %
Cash & Call Money 12.59687104 %

Portfolio Overview

as on Oct 31, 2025
Debenture 34.47569508 %
State Development Loan 34.39880859 %
Cash/Net Current Assets 12.59687104 %
Bonds 9.41388052 %

Historical Trend in Instrument Sector Allocation

as on Oct 31, 2025
  • %
  • #
Sector Oct 25 Sep 25 Apr 25 Dec 24 Nov 24 Oct 24 Sep 24
Financial 34.980000000000004 % 17.91 Cr 24.75 % 12.8 Cr 6.35 % 3.27 Cr 18.880000000000003 % 10.15 Cr 16.11 % 10.1 Cr 15.43 % 10.05 Cr 0 % 0 18.45
Others 40.959999999999994 % 20.97 Cr 39.739999999999995 % 20.55 Cr 75.88999999999999 % 39.09 Cr 7.03 % 3.78 Cr 2.68 % 1.67 Cr 15.02 % 9.78 Cr 11.68 % 8.39 Cr 21.37
Sovereign 8.83 % 4.52 Cr 20.64 % 10.68 Cr 7.89 % 4.06 Cr 54.910000000000004 % 29.54 Cr 64.9 % 40.7 Cr 61.82 % 40.28 Cr 88.32 % 63.5 Cr 49.18

Sector Allocation Vs Category

as on Oct 31, 2025

Complete Current Instrument Holdings

as on Oct 31, 2025
InstrumentSector% of holdingValue
Haryana StateOthers 15.27 % 7.82 Cr
Poonawalla Fincorp Ltd.Financial 9.79 % 5.01 Cr
Small Industries Devp. Bank of India Ltd.Financial 9.47 % 4.84 Cr
Power Finance Corporation Ltd.Financial 9.41 % 4.82 Cr
GOISovereign 8.83 % 4.52 Cr
Tamilnadu StateOthers 7.08 % 3.62 Cr
Andhra Pradesh StateFinancial 6.31 % 3.23 Cr
Jammu & Kashmir StateOthers 5.73 % 2.93 Cr