Shriram Life Insurance Company Limited

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Total Funds: 18   
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Fund Name
Category
Latest NAV
NAV Date
Balanced Allocation
34.0900
30/09/2022
Aggressive Allocation
38.8100
30/09/2022
Equity - Other
31.4300
30/09/2022
Equity - Other
22.6500
30/09/2022
Conservative Allocation
23.3800
30/09/2022
Balanced Allocation
25.1600
30/09/2022
Conservative Allocation
18.2800
30/09/2022
Balanced Allocation
24.7400
30/09/2022
Other Bond
10.0000
30/09/2022
Other Bond
29.8600
30/09/2022
Other Bond
28.5300
30/09/2022
Other Bond
23.6200
30/09/2022
Equity - Other
28.5900
30/09/2022
Aggressive Allocation
26.2600
30/09/2022
Other Bond
22.6600
30/09/2022
Equity - Other
33.9900
30/09/2022
Other Bond
23.4300
30/09/2022
Conservative Allocation
25.1100
30/09/2022
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