IndiaFirst Life Insurance Company Limited

Category
  
India First Life - Dynamic Moderator Fund Category Group Allocation Latest NAV 22.3562 NAV Date Jun 13, 2025
India First Life - Equity Fund Pension Category Large-Cap Latest NAV 56.8773 NAV Date Jun 13, 2025
India First Life - Debt Fund Pension Category Medium to Long Duration Latest NAV 26.8782 NAV Date Jun 13, 2025
India First Life - Equity Fund Category Multi-Cap Latest NAV 50.4621 NAV Date Jun 13, 2025
India First Life - Liquid Fund Pension Category Other Bond Latest NAV 20.6226 NAV Date Jun 13, 2025
India First Life - EBP Equity Advantage Category Group Equity Latest NAV 50.9022 NAV Date Jun 13, 2025
India First Life - Balanced Fund Pension Category Balanced Allocation Latest NAV 43.7978 NAV Date Jun 13, 2025
India First Life - Value Fund Category Multi-Cap Latest NAV 50.6612 NAV Date Jun 13, 2025
India First Life - Balanced Fund Category Balanced Allocation Latest NAV 40.8332 NAV Date Jun 13, 2025
India First Life - Debt Fund Category Medium to Long Duration Latest NAV 27.7347 NAV Date Jun 13, 2025
India First Life - Dynamic Asset Allc Category Dynamic Asset Allocation Latest NAV 36.9852 NAV Date Jun 13, 2025
India First Life - Debt Fund 1 Category Medium to Long Duration Latest NAV 25.2010 NAV Date Jun 13, 2025
India First Life - Equity Fund 1 Category Multi-Cap Latest NAV 46.5808 NAV Date Jun 13, 2025
India First Life - EBP Bond Fund Category Group Bond Latest NAV 27.5754 NAV Date Jun 13, 2025
India First Life - Index Tracker Fund Category Large-Cap Latest NAV 41.4409 NAV Date Jun 13, 2025
India First Life - Balanced Fund 1 Category Balanced Allocation Latest NAV 36.0389 NAV Date Jun 13, 2025
India First Life - EBP Enhanced Index Category Group Equity Latest NAV 10.0000 NAV Date Jun 13, 2025
India First Life - EBP Cash Fund Category Group Bond Latest NAV 18.4996 NAV Date May 30, 2025
IndiaFirst Life Insurance IndiaFirst Sustainable Equity Fund Category Equity - ESG Latest NAV 15.2666 NAV Date Jun 13, 2025
India First Life - Liquid Fund Category Other Bond Latest NAV 17.4197 NAV Date Jun 13, 2025
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