Ageas Federal Life Insurance Company Limited

Filter Criteria
Category:
 
Total Funds: 16   
Page of 1   
Fund Name
Category
Latest NAV
NAV Date
Short Duration
23.4936
03/12/2021
Conservative Allocation
28.6450
03/12/2021
Guaranteed Funds
18.4193
28/06/2019
Short Duration
26.0092
03/12/2021
Balanced Allocation
32.3151
03/12/2021
Equity - Other
49.1075
03/12/2021
Equity - Other
26.7464
07/10/2020
Guaranteed Funds
24.7468
03/12/2021
Aggressive Allocation
41.5773
03/12/2021
Equity - Other
59.6416
03/12/2021
Other Bond
23.7726
03/12/2021
Equity - Other
41.9848
03/12/2021
Large-Cap
32.9112
03/12/2021
Equity - Other
34.7355
03/12/2021
Page of  1   

Top
Mutual Fund Tools
Ask Morningstar
Feedback