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Franklin Templeton Mutual Fund — Portfolio, Holdings & Monthly Changes

Complete fund-by-fund holdings, monthly portfolio changes, conviction stocks and sector shifts. Data as of Apr 2026. Data sourced from monthly portfolio disclosures submitted by each AMC to AMFI, as mandated by SEBI.

₹123,574.2 Cr
Avg AUM — Jan–Mar 2026 · -2.5%
17
Active Funds
1
Index / ETF Funds
280
Unique Stocks
16
Fresh Entries
13
Complete Exits
✓ Copied!
🏆 Conviction 🟢 Fresh Entries 🔴 Complete Exits 📈 Adding 📉 Reducing 📋 Active Funds (17) 📊 Index/ETF (1)

Franklin Templeton Mutual Fund is one of India's registered mutual fund houses. Like most AMCs, it may run schemes across multiple categories — equity, debt, hybrid, international, or others. This page tracks only the equity segment: 17 actively managed equity funds and 1 passive index funds and ETFs, based on official AMFI portfolio disclosures as mandated by SEBI. Other scheme types, if any, are not covered here.

Within the active equity funds, stocks held across five or more funds simultaneously indicate high conviction — a shared view among multiple fund managers within Franklin Templeton Mutual Fund. As of Apr 2026, HDFC Bank Limited is the most widely held stock, present in 16 active funds. The dominant sector exposure is Banks, followed by IT - Software.

This page compares portfolio holdings month on month to surface active decisions. Between Mar 2026 and Apr 2026, Franklin Templeton Mutual Fund's active equity funds made 16 fresh stock entries and fully exited 13 stocks. Only active fund changes are tracked here — index and ETF changes are benchmark-driven and not shown.

High Conviction

🏆 Stocks Held in 5 or More Funds

Stocks held across multiple Franklin Templeton Mutual Fund funds simultaneously.

#StockSectorNo. of FundsCombined ValueHeld By
1
HDFC Bank Limited
Banks
Banks 16 funds ₹4,790.8 Cr Focused, ELSS, Flexi Cap, Value/Contra, Large Cap, Balanced Advantage, Aggressive Hybrid, Multi Asset, Multi Cap, Mid Cap, Small Cap, Equity
2
State Bank of India
Banks
Banks 15 funds ₹2,696.8 Cr ELSS, Flexi Cap, Multi Cap, Value/Contra, Large Cap, Aggressive Hybrid, Balanced Advantage, Multi Asset, Mid Cap, Focused, Equity
3
Axis Bank Limited
Banks
Banks 14 funds ₹3,748.1 Cr Focused, Value/Contra, Flexi Cap, ELSS, Large Cap, Equity, Multi Cap, Aggressive Hybrid, Balanced Advantage, Multi Asset, Mid Cap, Small Cap
4
Reliance Industries Limited
Petroleum Products
Petroleum Products 13 funds ₹3,242.5 Cr Focused, Value/Contra, Large Cap, Equity, Aggressive Hybrid, Balanced Advantage, ELSS, Flexi Cap, Multi Asset, Multi Cap
5
Eternal Limited
Retailing
Retailing 13 funds ₹2,252.0 Cr Focused, Large Cap, Mid Cap, ELSS, Flexi Cap, Multi Asset, Aggressive Hybrid, Balanced Advantage, Multi Cap, Equity
6
Infosys Limited
IT - Software
IT - Software 12 funds ₹1,907.4 Cr Equity, ELSS, Large Cap, Value/Contra, Flexi Cap, Focused, Aggressive Hybrid, Mid Cap, Balanced Advantage, Multi Asset
7
PB Fintech Limited
Financial Technology (Fintech)
Financial Technology (Fintech) 12 funds ₹1,570.5 Cr Focused, Equity, ELSS, Large Cap, Flexi Cap, Mid Cap, Aggressive Hybrid, Multi Cap, Balanced Advantage, Multi Asset
8
ICICI Bank Limited
Banks
Banks 11 funds ₹3,562.1 Cr Large Cap, Focused, ELSS, Flexi Cap, Aggressive Hybrid, Balanced Advantage, Equity, Value/Contra, Mid Cap, Multi Asset
9
Tata Steel Limited
Ferrous Metals
Ferrous Metals 11 funds ₹1,653.4 Cr Focused, Value/Contra, Balanced Advantage, Flexi Cap, ELSS, Mid Cap, Aggressive Hybrid, Multi Asset, Small Cap, Equity
10
HCL Technologies Limited
IT - Software
IT - Software 11 funds ₹1,225.5 Cr Equity, ELSS, Flexi Cap, Large Cap, Multi Asset, Aggressive Hybrid, Multi Cap, Balanced Advantage, Value/Contra, Mid Cap
Portfolio Changes — Active Funds Only

Monthly Portfolio Changes — Entries & Exits

Mar 2026 Apr 2026

Index/ETF funds excluded — they track benchmarks mechanically and do not reflect active stock selection.

#StockSectorFundsAvg WeightValue
1
Bajaj Finserv Limited
Finance
NEW 1 fund 1.20% ₹87.1 Cr
2
Poonawalla Fincorp Limited
Finance
NEW 1 fund 1.16% ₹140.7 Cr
3
Hitachi Energy India Limited
Electrical Equipment
NEW 1 fund 1.09% ₹5.9 Cr
4
Multi Commodity Exchange of India Limited
Capital Markets
NEW 1 fund 0.79% ₹4.3 Cr
5
The Great Eastern Shipping Company Limited
Transport Services
NEW 1 fund 0.77% ₹4.1 Cr
6
Just Dial Limited
Retailing
NEW 1 fund 0.69% ₹14.9 Cr
7
BSE Limited
Capital Markets
NEW 1 fund 0.61% ₹3.3 Cr
8
Bharat Forge Limited
Auto Components
NEW 1 fund 0.55% ₹3.0 Cr
9
LG Electronics India Ltd
Consumer Durables
NEW 1 fund 0.52% ₹37.5 Cr
10
Global Health Limited
Healthcare Services
NEW 1 fund 0.36% ₹17.4 Cr
#StockSectorFundsWas WeightValue
1
Devyani International Limited
Leisure Services
EXITED 4 funds 0.20% ₹93.7 Cr
2
Hyundai Motor India Ltd
Automobiles
EXITED 3 funds 0.28% ₹81.2 Cr
3
Kwality Walls (India) Limited
Food Products
EXITED 3 funds 0.01% ₹82.0 L
4
Camlin Fine Sciences Ltd
Chemicals & Petrochemicals
EXITED 2 funds 0.22% ₹31.5 Cr
5
Redington Limited
Commercial Services & Supplies
EXITED 1 fund 0.64% ₹3.0 Cr
6
Corona Remedies Limited
Pharmaceuticals & Biotechnology
EXITED 1 fund 0.61% ₹19.1 Cr
7
EID Parry India Limited
Food Products
EXITED 1 fund 0.42% ₹2.0 Cr
8
SBI Cards and Payment Services Limited
Finance
EXITED 1 fund 0.40% ₹44.1 Cr
9
Wipro Limited
IT - Software
EXITED 1 fund 0.37% ₹1.8 Cr
10
Birlasoft Limited
IT - Software
EXITED 1 fund 0.35% ₹41.0 Cr
#StockSectorFundsMar 2026Apr 2026ChangeValue
1
SBI Life Insurance Company Limited
Insurance
Insurance 1 1.50% 3.00% +1.50% ₹217.0 Cr
2
Cyient DLM Ltd
Aerospace & Defense
Aerospace & Defense 1 0.99% 1.83% +0.84% ₹88.3 Cr
3
MTAR Technologies Limited
Aerospace & Defense
Aerospace & Defense 1 1.59% 2.41% +0.82% ₹333.8 Cr
4
Suzlon Energy Limited
Electrical Equipment
Electrical Equipment 2 0.36% 1.01% +0.65% ₹156.7 Cr
5
Balkrishna Industries Limited
Auto Components
Auto Components 1 1.53% 2.10% +0.57% ₹253.9 Cr
6
Mankind Pharma Limited
Pharmaceuticals & Biotechnology
Pharmaceuticals & Biotechnology 3 1.64% 2.20% +0.56% ₹578.2 Cr
7
Finolex Cables Limited
Industrial Products
Industrial Products 2 0.95% 1.49% +0.54% ₹316.1 Cr
8
Divi's Laboratories Limited
Pharmaceuticals & Biotechnology
Pharmaceuticals & Biotechnology 2 0.73% 1.23% +0.50% ₹96.4 Cr
9
Hindustan Aeronautics Limited
Aerospace & Defense
Aerospace & Defense 9 1.35% 1.81% +0.46% ₹1,212.5 Cr
10
Tata Consumer Products Limited
Agricultural Food & other Products
Agricultural Food & other Products 2 0.75% 1.19% +0.44% ₹105.1 Cr
#StockSectorFundsMar 2026Apr 2026ChangeValue
1
Vedanta Limited
Diversified Metals
Diversified Metals 1 1.72% 0.56% -1.16% ₹3.0 Cr
2
HCL Technologies Limited
IT - Software
IT - Software 11 3.10% 2.27% -0.83% ₹1,225.5 Cr
3
Adani Power Limited
Power
Power 1 1.25% 0.46% -0.79% ₹2.5 Cr
4
360 One WAM Limited
Capital Markets
Capital Markets 4 1.70% 0.95% -0.75% ₹219.6 Cr
5
Polycab India Limited
Industrial Products
Industrial Products 1 1.20% 0.49% -0.71% ₹2.7 Cr
6
Dabur India Limited
Personal Products
Personal Products 1 2.66% 1.98% -0.68% ₹95.4 Cr
7
Torrent Pharmaceuticals Limited
Pharmaceuticals & Biotechnology
Pharmaceuticals & Biotechnology 2 2.28% 1.67% -0.61% ₹111.3 Cr
8
Cipla Limited
Pharmaceuticals & Biotechnology
Pharmaceuticals & Biotechnology 5 2.04% 1.47% -0.57% ₹516.4 Cr
9
LIC Housing Finance Limited
Finance
Finance 1 0.75% 0.23% -0.52% ₹1.2 Cr
10
Sagility Limited
IT - Services
IT - Services 1 2.02% 1.52% -0.50% ₹51.7 Cr
Sector Exposure

Top Sectors — Apr 2026

Average sector allocation across all active funds. Index/ETF excluded.

Banks
18.2%
16 funds
IT - Software
7.4%
16 funds
Petroleum Products
4.8%
14 funds
Telecom - Services
4.8%
13 funds
Power
4.5%
15 funds
Retailing
4.4%
17 funds
Pharmaceuticals & Biotechnology
4.4%
15 funds
Industrial Products
4.3%
13 funds
Active Funds

17 Active Equity Funds — Apr 2026

Click any fund to see full portfolio analysis, NAV history, drawdown and rolling returns.

Franklin Asian Equity Fund - Direct - Growth Franklin Build India Fund - Direct - Growth Franklin India Aggressive Hybrid Fund - Direct - Growth Franklin India Balanced Advantage Fund- Growth- Direct Franklin India ELSS Tax Saver Fund - Direct - Growth Franklin India Flexi Cap Fund - Direct - Growth Franklin India Focused Equity Fund - Direct - Growth Franklin India Large & Mid Cap Fund - Direct - Growth Franklin India Large Cap Fund- Direct - Growth Franklin India Mid Cap Fund - Direct - Growth Franklin India Multi Asset Allocation Fund- Direct-Growth Franklin India Multi Cap Fund - Direct - Growth Franklin India Multi-Factor Fund- Direct- Growth Franklin India Opportunities Fund - Direct - Growth Franklin India Small Cap Fund - Direct - Growth Franklin India Technology Fund - Direct - Growth Templeton India Value Fund - Direct - Growth
Passive Funds

Index Funds & ETFs — 1 Funds

These funds passively track a benchmark index and do not reflect active fund manager decisions. Portfolio analysis above covers active funds only.

Franklin India INDEX FUND- NSE NIFTY 50 INDEX FUND- Direct - Growth
Stock Search

🔍 Search Any Stock

Search any stock to see which Franklin Templeton Mutual Fund active funds hold it.

Frequently Asked Questions

About Franklin Templeton Mutual Fund — FAQs

How many equity funds does Franklin Templeton Mutual Fund have?

Franklin Templeton Mutual Fund manages 17 active equity mutual fund schemes across SEBI categories including Large Cap, Mid Cap, Small Cap, Flexi Cap, ELSS and others. Portfolio holdings are updated monthly from official AMFI disclosures.

What stocks does Franklin Templeton Mutual Fund hold across its funds?

You can search any stock in the search box above to see which Franklin Templeton Mutual Fund funds hold it and at what portfolio weight. The top stocks held across 5 or more funds are shown in the Holdings section above.

Which stocks did Franklin Templeton Mutual Fund buy or sell recently?

The Monthly Portfolio Changes section on this page shows stocks that Franklin Templeton Mutual Fund funds newly entered or exited in the most recent month compared to the previous month — reflecting the latest investment decisions by fund managers.

How often does Franklin Templeton Mutual Fund disclose its portfolio?

SEBI requires all AMCs including Franklin Templeton Mutual Fund to disclose their complete portfolio within 10 days of each month end. RightAdvise updates this data monthly from official AMFI portfolio disclosures.

⚠️ Disclaimer: Data sourced from monthly portfolio disclosures submitted by each AMC to AMFI as per SEBI regulations. This is for educational purposes only and does not constitute investment advice. RightAdvise is NOT SEBI registered. Consult a SEBI-registered advisor before investing. Equity Holdings Value shown per fund is calculated from stock holdings only and excludes cash, CBLO, debt instruments, derivatives and net receivables/payables. Actual total fund AUM will be higher. For exact fund AUM refer to the respective AMC website.