Shriram Life Insurance Co. Ltd.

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Total Funds: 18   
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Fund Name
Category
Latest NAV
NAV Date
Moderate Allocation
27.8100
23/02/2018
Aggressive Allocation
29.1600
23/02/2018
Other Bond
23.8900
23/02/2018
Other Bond
21.0300
23/02/2018
Flex-Cap Equity
23.6400
23/02/2018
Other Bond
18.9100
23/02/2018
Flex-Cap Equity
17.5300
23/02/2018
Conservative Allocation
18.4900
23/02/2018
Flex-Cap Equity
22.4100
23/02/2018
Moderate Allocation
19.0900
23/02/2018
Aggressive Allocation
20.9700
23/02/2018
Other Bond
18.7200
23/02/2018
Conservative Allocation
15.5500
23/02/2018
Other Bond
17.7600
23/02/2018
Flex-Cap Equity
20.5300
23/02/2018
Moderate Allocation
18.4700
23/02/2018
Conservative Allocation
18.9000
23/02/2018
Other Bond
10.2700
23/02/2018
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