Franklin India Income Plus Arbitrage Active Fund of Funds- Growth Plan - Direct

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    Hybrid · Income Plus Arbitrage FoFNAV₹25.486 Oct 2026AUM₹143 croreExpense ratio0.20%1Y+6.02%3Y+13.40%5Y+10.81%

    Investment Objective

    The Fund Seeks To Achieve Capital Appreciation And Diversification Through A Mix Of Strategic And Tactical Allocation To Various Asset Classes Such As Equity, Debt, Gold And Cash By Investing…

    Performance vs Benchmark

    FundNAV as of 6 Oct 2026

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    At a glance

    3 year return
    +13.40% a year

    If you had invested

    Loading NAV history.

    Asset Allocation

    As of 6 Oct 2026

    Asset Class

    No data

    Market Cap

    No data

    Key Metrics

    Fund size₹143 crore
    Expense ratio0.20% a year

    Trailing Returns

    1M3M6MYTD1Y3Y5Y7Y10Y
    This fund+0.39%+1.21%+3.51%+4.55%+6.02%+13.40%+10.81%+9.39%+8.22%

    Calendar Year Returns vs Benchmark

    Comparison with NIFTY 500 Index(40%)+NIFTY Short Duration Debt Index(40%)+Domestic gold price(20%)

    Franklin India Income Plus Arbitrage Active Fund of Funds Growth Plan Direct: summary

    Franklin India Income Plus Arbitrage Active Fund of Funds Growth Plan Direct is an Income Plus Arbitrage FoF hybrid fund from Franklin Templeton Asset Management (India) Private Limited, launched on 28 Nov 2014. Its benchmark is the NIFTY 500 Index(40%)+NIFTY Short Duration Debt Index(40%)+Domestic gold price(20%). The expense ratio is 0.20% a year. It manages ₹143 crore. The NAV was ₹25.48 on 6 Oct 2026.

    Returns and volatility

    PeriodReturnVolatility a year
    Last 1 year+6.02%1.11%
    Last 3 years+13.40% a year4.38%
    Last 5 years+10.81% a year4.45%
    Last 10 years+8.22% a year8.22%

    Returns over 3 years and longer are compounded annual returns. Volatility is the annualised standard deviation of returns over the same period. Figures as of 6 Oct 2026.

    Calendar year returns against the NIFTY 500 Index(40%)+NIFTY Short Duration Debt Index(40%)+Domestic gold price(20%)

    From 2017 to 2026, the fund returned more than the NIFTY 500 Index(40%)+NIFTY Short Duration Debt Index(40%)+Domestic gold price(20%) in 2 of 10 calendar years. The 2026 figure is year to date.

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    Year
    2017
    2018
    2019
    2020
    2021
    2022
    2023
    2024
    2025
    2026 YTD
    This fund+13.04%+1.42%+8.96%-13.40%+26.71%+4.77%+16.08%+12.75%+14.84%+4.55%
    Benchmark+17.58%+3.33%+16.24%+22.40%+9.64%+1.94%+28.15%+17.78%+40.22%+8.37%

    Investing in this fund from the UAE

    NRIs living in the UAE can generally invest in Indian mutual funds once their KYC is complete, paying from an NRE or NRO bank account.

    Some fund houses do not accept investments from residents of the United States or Canada, or accept them only offline with an extra declaration. If you live in either country, check Franklin Templeton Asset Management (India) Private Limited's current policy before you invest.

    How gains on this fund are taxed in India depends on its share of equity and on when your units were bought. For NRIs, the fund house deducts tax when you redeem.

    The UAE does not levy personal income tax, and the India UAE tax treaty may affect how your gains are treated. The outcome depends on your tax residence and your facts, so confirm your own position with a tax adviser. Indian tax rates as of October 2026.

    About this data

    Fund data comes from RuDo Wealth fund analytics, with the NAV as of 6 Oct 2026. Calendar year returns are compared with the benchmark that Franklin Templeton Asset Management (India) Private Limited names for this fund. We order funds by published measures such as returns, volatility and years ahead of the benchmark, and we do not label any fund as the best. Method reviewed by Alok Kumar, Chief Executive Officer, RuDo Digital Wealth, October 2026.

    RuDo Wealth is a fee-only cross-border advisory operating through two separate companies. India: RuDo Wealth Investment Advisory, SEBI Registered Investment Adviser, registration INA000019503. UAE: RuDo Digital Wealth, FSRA Financial Services Permission 220155, Category 3C (Retail), ADGM. The entity permitted to serve you depends on your country of residence.

    This page is general information, not a recommendation to buy or sell this fund. Past performance does not indicate future returns.