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Daily NAV's
NAV as on 5/24/2013 (view all NAV)
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Gilt Fund
19.1179
ULGF00630/05/03BSLIGRGILT109
Bond Fund
21.3809
ULGF00530/05/03BSLIGRBOND109
Fixed Interest Fund
24.9825
ULGF00416/07/02BSLGFIXINT109
Money Market Fund
21.1385
ULGF00824/08/04BSLIGRMMKT109
Short Term Debt Fund
14.8096
ULGF01322/09/08BSLGSHTDBT109
Secure Fund
35.0439
ULGF00212/06/01BSLGSECURE109
Stable Fund
46.0998
ULGF00312/06/01BSLGSTABLE109
Growth Fund
53.2828
ULGF00112/06/01BSLGGROWTH109
Growth Advantage Fund
18.5698
ULGF01026/11/07BSLIGGRADV109
Income Advantage Fund
14.1233
ULGF01425/02/10BSLGINCADV109
Fixed Interest Fund II
12.0862
ULGF01728/11/11BSLGFXINT2109
Money Market Fund II
11.4228
ULGF01928/11/11BSLGRMMKT2109
Growth Fund II
12.5658
ULGF01828/11/11BSLGROWTH2109
Short Term Debt Fund II
11.9177
ULGF02128/11/11BSLGSHTDB2109
Stable Fund II
12.0031
ULGF02228/11/11BSLGSTABL2109
Capital Protection Fund
10
ULGF00902/02/05BSLIGRPROT109
Floating Rate Fund
10
ULGF00724/08/04BSLIGFLOAT109
Growth Maximiser Fund
10
ULGF01525/02/10BSLIGRMAXI109
Group Secure Fund II
9.9736
ULGF02028/11/11BSLGSECUR2109
Bond Fund II
10
ULGF01628/11/11BSLGRBOND2109
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