Kotak Mahindra Life Insurance Company Limited

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Total Funds: 39   
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Fund Name
Category
Latest NAV
NAV Date
Balanced Allocation
31.4683
26/07/2021
Aggressive Allocation
111.7413
26/07/2021
Dynamic Asset Allocation
19.6391
26/07/2021
Balanced Allocation
19.9639
26/07/2021
Medium to Long Duration
41.4456
26/07/2021
Balanced Allocation
20.4217
26/07/2021
Balanced Allocation
27.4808
26/07/2021
Ultra Short Duration
21.7580
26/07/2021
Medium to Long Duration
41.1729
26/07/2021
Page of  2   

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