HDFC Standard Life - Bond Opportunities Fund
|
Category
Medium to Long Duration
|
Latest NAV
28.8329
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Balanced Managed Investment Life II
|
Category
Balanced Allocation
|
Latest NAV
41.2663
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Pension Super Plus Fund 2012
|
Category
Balanced Allocation
|
Latest NAV
28.6441
|
NAV Date
May 13, 2025
|
HDFC Life Equity Advantage Fund
|
Category
Multi-Cap
|
Latest NAV
27.3110
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Blue Chip Wealth Builder
|
Category
Large-Cap
|
Latest NAV
50.1794
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Equity Managed Investment Life
|
Category
Large-Cap
|
Latest NAV
353.3136
|
NAV Date
May 13, 2025
|
HDFC S Life-Diversified Equity Fund
|
Category
Aggressive Allocation
|
Latest NAV
40.6134
|
NAV Date
May 13, 2025
|
HDFC S Life - Top 500 Momentum 50 Fund
|
Category
Index Funds
|
Latest NAV
8.4840
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Defensive Managed Investment Life
|
Category
Conservative Allocation
|
Latest NAV
143.5165
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Growth Fund Investment Life II
|
Category
Large-Cap
|
Latest NAV
46.7894
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Defined Benefit Superannuation Pension Secure Managed
|
Category
Group Bond
|
Latest NAV
194.2198
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Growth Fund
|
Category
Group Equity
|
Latest NAV
451.8590
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Defensive Managed Investment Life II
|
Category
Conservative Allocation
|
Latest NAV
40.3918
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Balanced Managed Investment Pension II
|
Category
Balanced Allocation
|
Latest NAV
57.9013
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Liquid II
|
Category
Group Bond
|
Latest NAV
26.5309
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Stable Managed Fund II
|
Category
Group Bond
|
Latest NAV
29.6342
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Equity Managed Investment Pension II
|
Category
Large-Cap
|
Latest NAV
79.0473
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Sovereign Fund Pension
|
Category
Group Bond
|
Latest NAV
72.2035
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Defensive II
|
Category
Group Allocation
|
Latest NAV
43.1375
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Defensive Managed Fund II
|
Category
Group Allocation
|
Latest NAV
39.9912
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Growth Fund Investment Pension II
|
Category
Large-Cap
|
Latest NAV
88.3702
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Stable Managed Life II
|
Category
Short Duration
|
Latest NAV
29.6983
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Liquid Fund II
|
Category
Group Bond
|
Latest NAV
28.1987
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Balanced Managed Fund II
|
Category
Group Allocation
|
Latest NAV
41.2409
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Secured Managed Investment Pension II
|
Category
Medium to Long Duration
|
Latest NAV
34.9243
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Vantage Wealth Builder Fund
|
Category
Aggressive Allocation
|
Latest NAV
41.3710
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Liquid Fund
|
Category
Group Bond
|
Latest NAV
79.6492
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Stable Managed Fund
|
Category
Group Bond
|
Latest NAV
83.7369
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Stable Managed Pension II
|
Category
Short Duration
|
Latest NAV
28.4618
|
NAV Date
May 13, 2025
|
HDFC Life Insurance Midcap Momentum Fund
|
Category
Equity - Other
|
Latest NAV
10.7122
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Defensive Managed Fund
|
Category
Group Allocation
|
Latest NAV
141.5094
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Defensive Managed Fund
|
Category
Group Allocation
|
Latest NAV
126.8036
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Secure Managed Investmment Life
|
Category
Medium to Long Duration
|
Latest NAV
92.7986
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Stable II
|
Category
Group Bond
|
Latest NAV
28.2873
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Balanced Managed Fund
|
Category
Group Allocation
|
Latest NAV
203.7030
|
NAV Date
May 13, 2025
|
HDFC S Life-Bond Fund
|
Category
Medium to Long Duration
|
Latest NAV
21.1989
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Secure Managed Investmment Life II
|
Category
Medium to Long Duration
|
Latest NAV
35.2245
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Secure II
|
Category
Group Bond
|
Latest NAV
35.3890
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Balanced Managed Investment Life
|
Category
Balanced Allocation
|
Latest NAV
211.4930
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Liquid Fund Investment Life II
|
Category
Ultra Short Duration
|
Latest NAV
28.1906
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Growth Fund Investment Life
|
Category
Large-Cap
|
Latest NAV
427.5724
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Secure Managed Fund
|
Category
Group Bond
|
Latest NAV
92.7418
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Equity Managed Investment Life II
|
Category
Large-Cap
|
Latest NAV
50.9554
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Managers Fund
|
Category
Aggressive Allocation
|
Latest NAV
53.9525
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Income Wealth Builder
|
Category
Medium to Long Duration
|
Latest NAV
29.3967
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Pension Stable Managed Fund
|
Category
Group Bond
|
Latest NAV
83.6255
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Large Cap Niche Life Fund
|
Category
Large-Cap
|
Latest NAV
62.9621
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Mid Cap Niche Life Fund
|
Category
Mid-Cap
|
Latest NAV
103.1000
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Growth Fund Investment Pension
|
Category
Large-Cap
|
Latest NAV
410.6862
|
NAV Date
May 13, 2025
|
HDFC Standard Life - Group Life Secure Managed Fund II
|
Category
Group Bond
|
Latest NAV
36.4567
|
NAV Date
May 13, 2025
|