Aditya Birla Sun Life Insurance Company Limited

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Total Funds: 44   
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Fund Name
Category
Latest NAV
NAV Date
Balanced Allocation
76.8666
29/03/2023
Group Allocation
75.5634
29/03/2023
Short Duration
39.4953
29/03/2023
Conservative Allocation
85.1345
29/03/2023
Conservative Allocation
64.1752
29/03/2023
Conservative Allocation
47.8153
29/03/2023
Group Allocation
108.1599
29/03/2023
Guaranteed Funds
10.0000
29/03/2023
Guaranteed Funds
10.0000
29/03/2023
Guaranteed Funds
20.1895
29/03/2023
Conservative Allocation
20.0234
29/03/2023
Ultra Short Duration
19.9735
29/03/2023
Group Allocation
31.2474
29/03/2023
Group Bond
10.0000
29/03/2023
Medium to Long Duration
34.8923
29/03/2023
Conservative Allocation
75.1649
29/03/2023
Conservative Allocation
49.5770
29/03/2023
Guaranteed Funds
10.0000
29/03/2023
Conservative Allocation
77.4248
29/03/2023
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