scanner-img

Latest Unit Values

Fund Name NAV Date NAV (₹)
Tata AIA 110% Capital Guarantee Fund 13-Sep-24 25.64
Shriram Life - Accelerator Fund 13-Sep-24 50.90
Bandhan Life Accelerator Fund 13-Sep-24 49.77
Shriram Life - Accelerator Fund 13-Sep-24 50.90
PNB MetLife Accelerator 13-Sep-24 85.50
Bajaj Allianz Accelerator Mid Cap Fund 13-Sep-24 151.44

More

ULIP Performance Report

Scheme Name Max Equity Latest NAV Date Latest NAV (₹) 1 Week % 1 Month %
Reliance Life Energy Fund 1 100 13-Sep-24 70.69 0.15 -1.02
Reliance Pension Energy Fund 2 100 13-Sep-24 59.65 0.15 -1.01
Aviva Pension Unit Linked PSU Fund II (Post 31-Dec-2009) 40 13-Sep-24 46.49 -0.66 -1.60
Reliance Life Energy Fund 2 100 13-Sep-24 60.15 0.13 -1.02
Reliance Health Energy Fund 1 100 13-Sep-24 63.82 0.13 -1.01

More