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Latest Unit Values

Fund Name NAV Date NAV (₹)
Tata AIA 110% Capital Guarantee Fund 25-Feb-26 27.14
Shriram Life - Accelerator Fund 25-Feb-26 49.08
Shriram Life - Accelerator Fund 25-Feb-26 49.08
Bandhan Life Accelerator Fund 25-Feb-26 50.42
PNB MetLife Accelerator 25-Feb-26 85.26
Bajaj Allianz Accelerator Mid Cap Fund 25-Feb-26 134.53

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ULIP Performance Report

Scheme Name Max Equity Latest NAV Date Latest NAV (₹) 1 Week % 1 Month %
Aviva Pension Unit Linked PSU Fund II (Post 31-Dec-2009) 40.0 25-Feb-26 50.38 1.43 9.75
Aviva Unit Linked PSU Fund (Post 31-Dec-2009) 40.0 25-Feb-26 48.23 1.36 9.37
HDFC Standard - Growth Fund - Group SuperAnn (A&B) 5.0 25-Feb-26 511.51 -0.31 4.47
Aviva Unit Linked Infrastructure Fund (Post 31-Dec-2009) 40.0 25-Feb-26 39.27 -0.29 8.53
Reliance Group Midcap Fund 1 100.0 25-Feb-26 111.87 -1.21 4.42

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