Franklin India Flexi Cap Fund - Direct (G) vs Nippon India Power & Infra Fund - Direct (G)
Franklin India Flexi Cap Fund - Direct (G)
-2.04%
Nippon India Power & Infra Fund - Direct (G)
11.61%
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About Fund
Citibank N.A. Deutsche Bank
Franklin Templeton Asset Management (India) Pvt. Ltd.
Deutsche Bank AG
Karvy Computershare Pvt. Ltd.
Fund Details
Very High Risk
5000
19274.14
1.76
1789.5072
January 1, 2013
0
Very High Risk
5000
8043.44
1.12
409.7574
January 1, 2013
1
Very High Risk
5000
19274.14
1.76
1789.5072
January 1, 2013
0
Very High Risk
5000
8043.44
1.12
409.7574
January 1, 2013
1
14.04 %
13.05 %
-2.04 %
22.75 %
21.5 %
11.61 %
Anand Radhakrishnan
B.Tech.,PGDM (IIM),CFA CFA, PGDM (IIM) B.Tech.
Prior assignments: . 2004-2006, Fund Manager for the Portfolio Management Services of the AMC. . 1996-2004, Fund Manager - Sundaram Asset Management s Ltd. . 1994-1996, Deputy Manager, Portfolio Manager of Asian Convertible and Income Fund - SBI Funds Managements Ltd.
Rajasa Kakulavarapu
B.Tech. (ECE) from NIT, Jaipur and MBA from Indian Institute of Management, Ahmedabad
She is responsible for equity research support and fund management. (Based at Chennai) Prior Assignments: Franklin Templeton Asset Management (India) Pvt. Ltd. (Since 2016 till date): AVP/Senior Research Analyst. Jefferies India Pvt. Ltd. (June 2011 to March 2016) Credit Suisse Securities (India) Pvt. Ltd. (May 2008 to June 2011)
Rahul Modi
Masters in Finance and Investment from Nottingham Business School (UK) - 2007 BCOM (H) from Calcutta University - 2005
Over 17 years of experience From August 19, 2024 onwards Fund Manager & Research Analyst, NAM India February 08, 2023 - August 18, 2024 Nippon India Mutual Fund - Buy Side Analyst in equities team - Covering Power, Industrials, Defence, Infrastructure and logistics October 2017 - January 2023 ICICI Securities - VP - Sell Side analyst covering Power, Capital Goods and Infrastructure September 2012 - October 2017 Antique Stock Broking - VP - Sell side analyst covering Power & Infrastructure
Sanjay Doshi
ACA, MBA (Finance), Cleared CFA Level III
Over 11 years of experience in capital market From January 02, 2017: RNLAM : Fund Manager - Equity February 01, 2011 to January 01, 2017 RNLAM, Sr. Analyst Equity Investment August 2007 to December 2010 Macquarie Capital Securities (India) Pvt Ltd - Analyst Equity Research September 2005 to July 2007 JP Morgan Services (India) Pvt Ltd - Associate Convertible Bonds Research
Sunil Singhania
B.com, CFA., and FCA
Prior to joining Reliance AMC, has worked with Advani Share Brokers Pvt. Ltd. as Director - Institutional Sales & Research for 6 years and with Motisons Securities Pvt. Ltd. for 3 years.