Shriram Life Insurance Co. Ltd.

Filter Criteria
Category:
 
Total Funds: 18   
Page of 1   
Fund Name
Category
Latest NAV
NAV Date
Other Bond
10.0000
20/09/2019
Balanced Allocation
29.1100
20/09/2019
Other Bond
26.9100
20/09/2019
Aggressive Allocation
29.5000
20/09/2019
Multi-Cap
22.2800
20/09/2019
Other Bond
24.5900
20/09/2019
Multi-Cap
16.2700
20/09/2019
Other Bond
21.1600
20/09/2019
Multi-Cap
20.8700
20/09/2019
Conservative Allocation
19.8200
20/09/2019
Aggressive Allocation
21.1100
20/09/2019
Balanced Allocation
20.3700
20/09/2019
Conservative Allocation
16.6200
20/09/2019
Other Bond
20.4900
20/09/2019
Multi-Cap
19.6100
20/09/2019
Other Bond
20.3600
20/09/2019
Conservative Allocation
20.2500
20/09/2019
Balanced Allocation
19.3200
20/09/2019
Page of  1   

Top
Mutual Fund Tools
Feedback