HDFC Standard Life Insurance Co. Ltd.

Filter Criteria
Category:
 
Total Funds: 80   
Page of 4   
Fund Name
Category
Latest NAV
NAV Date
Balanced Allocation
15.5172
27/03/2020
Group Bond
21.6729
27/03/2020
Group Bond
22.1274
27/03/2020
Group Bond
26.5233
27/03/2020
Group Allocation
26.7658
27/03/2020
Group Allocation
28.7747
27/03/2020
Group Bond
63.2447
27/03/2020
Group Equity
127.8601
27/03/2020
Group Bond
23.0105
27/03/2020
Group Allocation
24.7152
27/03/2020
Group Allocation
21.3741
27/03/2020
Group Bond
63.0628
27/03/2020
Group Allocation
85.3237
27/03/2020
Group Allocation
107.0127
27/03/2020
Group Allocation
76.7652
27/03/2020
Group Allocation
102.0131
27/03/2020
Page of  4   

Top
Mutual Fund Tools
Feedback