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Franklin India Equity Income Fund (D) SET SMS ALERT

15.791
0.18 (1.15%)
NAV as on Sep-17-2014
NAV as on Sep-17-2014
Dividend History
Record Date
Dividend (Rs/unit)
12-Sep-2014
0.7000
14-Mar-2014
0.7000
13-Sep-2013
0.7000
15-Mar-2013
0.7000
14-Sep-2012
0.7000
16-Mar-2012
0.7000
16-Sep-2011
0.7000
11-Mar-2011
0.7000
20-Sep-2010
0.7000
12-Mar-2010
0.7000
26-Aug-2009
0.7000
21-May-2008
0.7000
28-Nov-2007
0.7000
18-Apr-2007
0.7000

Dividends declared in other Plans of this Scheme:

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